Seasons Kosher Supermarket
Pay Range
Seasons Kosher Supermarket provided pay range. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base Pay $55,000.00/yr - $65,000.00/yr
Job Description Seasons Kosher Supermarkets is one of the largest kosher supermarket chains in the nation. At present, there are nine Seasons locations across the Tri‑State area with plans to expand. The Reconciliation Accountant is responsible for ensuring the accuracy and integrity of the company’s financial records, particularly those related to the balance sheet. Compare bank statements, general ledger accounts, and other relevant records. Identify, investigate, and resolve discrepancies, and prepare reports for management. Support the company’s A/P & A/R processes. This position is full‑time and in‑office. Our HQ is located in the Marine Park area in Brooklyn, NY.
Job Duties & Responsibilities
Perform daily, weekly, and monthly reconciliations to ensure accurate records of financial transactions
Prepare journal entries to reflect the correct financial position of the company
Manage automated ABR software to compare financial records and bank statements
Proficiency in using NetSuite for accounting tasks such as general ledger management, accounts payable and receivable, and financial reporting
Configure and customize NetSuite reports, saved searches, and dashboards
Troubleshoot NetSuite issues and provide support to other team members
Manage the general ledger, including journal entries and account reconciliations
Prepare and analyze financial statements and reports
Perform month‑end and year‑end close procedures
Maintain the automated AP software, ensuring it is up‑to‑date and functioning correctly
Manage vendor information within the system, including setting up new vendors and maintaining existing vendor records
Requirements
3–5 years of accounting and reconciliation experience
Bachelor’s degree in Accounting/Finance
Advanced Excel skills and experience working with large volumes of data
Strong understanding of accounting principles and practices
Excellent analytical and problem‑solving skills
Proficiency in NetSuite
Experience with financial reporting and analysis
Experience with month‑end and year‑end close processes
Knowledge of relevant accounting standards and regulations
Experience with process improvement and optimization
Previous experience in bank reconciliation or a similar role
Proficiency with accounting software and automated bank reconciliation platforms
Benefits
Health Insurance
Dental & Vision Insurance
Paid Time Off (PTO)
Free 100K Life and AD&D Insurance
Short‑Term Disability Insurance
Long‑Term Disability Insurance
Flexible Spending Accounts (FSAs)
Supplemental Insurance
Seniority level
Mid‑Senior level
Employment type
Full‑time
Job function
Accounting/Auditing
Industries
IT Services and IT Consulting
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Base Pay $55,000.00/yr - $65,000.00/yr
Job Description Seasons Kosher Supermarkets is one of the largest kosher supermarket chains in the nation. At present, there are nine Seasons locations across the Tri‑State area with plans to expand. The Reconciliation Accountant is responsible for ensuring the accuracy and integrity of the company’s financial records, particularly those related to the balance sheet. Compare bank statements, general ledger accounts, and other relevant records. Identify, investigate, and resolve discrepancies, and prepare reports for management. Support the company’s A/P & A/R processes. This position is full‑time and in‑office. Our HQ is located in the Marine Park area in Brooklyn, NY.
Job Duties & Responsibilities
Perform daily, weekly, and monthly reconciliations to ensure accurate records of financial transactions
Prepare journal entries to reflect the correct financial position of the company
Manage automated ABR software to compare financial records and bank statements
Proficiency in using NetSuite for accounting tasks such as general ledger management, accounts payable and receivable, and financial reporting
Configure and customize NetSuite reports, saved searches, and dashboards
Troubleshoot NetSuite issues and provide support to other team members
Manage the general ledger, including journal entries and account reconciliations
Prepare and analyze financial statements and reports
Perform month‑end and year‑end close procedures
Maintain the automated AP software, ensuring it is up‑to‑date and functioning correctly
Manage vendor information within the system, including setting up new vendors and maintaining existing vendor records
Requirements
3–5 years of accounting and reconciliation experience
Bachelor’s degree in Accounting/Finance
Advanced Excel skills and experience working with large volumes of data
Strong understanding of accounting principles and practices
Excellent analytical and problem‑solving skills
Proficiency in NetSuite
Experience with financial reporting and analysis
Experience with month‑end and year‑end close processes
Knowledge of relevant accounting standards and regulations
Experience with process improvement and optimization
Previous experience in bank reconciliation or a similar role
Proficiency with accounting software and automated bank reconciliation platforms
Benefits
Health Insurance
Dental & Vision Insurance
Paid Time Off (PTO)
Free 100K Life and AD&D Insurance
Short‑Term Disability Insurance
Long‑Term Disability Insurance
Flexible Spending Accounts (FSAs)
Supplemental Insurance
Seniority level
Mid‑Senior level
Employment type
Full‑time
Job function
Accounting/Auditing
Industries
IT Services and IT Consulting
#J-18808-Ljbffr