HSA Accountant 2
Staff accountant job in Media, PA
Requirements One (1) year as an Accountant 1; or two (2) years of professional accounting experience, and graduation from a four year college or university, including or supplemented by 15 credits in accounting. Four (4) years of bookkeeping experience and 18 college credits in accounting may be substituted for college graduation.
* This position requires Pennsylvania residency.
* Do not submit resumes, cover letters, and similar documents. These documents will not be reviewed, and the information contained therein will not be considered for the purposes of determining your eligibility for the position or to determine your score. Information to support your eligibility for the position must be provided on the application (i.e., relevant, detailed experience/education).
* If you are claiming education in your answers to the supplemental application questions, you must attach a copy of your college transcripts for your claim to be accepted toward meeting the minimum requirements. Unofficial transcripts are acceptable.
* Must be able to perform essential job functions.
Position Description
The Human Services Accountant 2 is responsible for the fiscal management of the Mental Health program. Your general responsibilities will include planning and administering budgets; accounting for program transactions; monitoring revenue and expenditures; preparing and distributing internal and external financial reports; and providing a financial support function to the program office. You will also supervise two Fiscal Technicians and an Accountant 1, as well as communicate with mental health service providers and local, federal, and state accounting and finance personnel to guarantee efficiency and cohesion. Share you advanced professional accounting skills and be part of a team that makes a lasting positive difference in the lives of people in our communities!
Legal Requirements
This position falls under the provisions of the Child Protective Services Law.
* Under the Law, a conditional offer of employment will require submission and approval of satisfactory criminal history reports, including, but not limited to, PA State Police, Child Abuse history clearance, and FBI clearance.
To
Implementation Accountant
Staff accountant job in Marlton, NJ
Job Title: Implementation Accountant
About HomeSource
HomeSource is a dynamic and rapidly growing company. With 12 years of growth and innovation, the HomeSource team has maintained a singular vision: to make life simpler for retailers and manufacturers by aggregating large amounts of data into one single, usable system. Today, that vision is blending with new cloud technology in ways that would have seemed impossible even a decade ago. It is now possible to bring together millions of pieces of information - including item numbers, product specs, training videos, and more - into an app that can be used and updated in real-time. The result isn't just useful, it's groundbreaking. Although we work with cloud-based apps and systems, we have never forgotten that we are in the business of solving problems. That means we'll keep working hard to find new ways to help you benefit from accurate content and streamlined processes.
Summary
The Implementation Accountant plays a pivotal role in onboarding and supporting new customers by implementing the General Ledger (GL) module within the HomeSource system. You'll work directly with clients to configure financial settings, integrate data, and train users on system functionality - ensuring a smooth transition and long-term success.
This role blends accounting expertise with customer interaction, training, and technical problem-solving. It's ideal for an accounting professional who enjoys technology, process improvement, and helping others succeed in leveraging new tools. Approximately 50% travel is required to meet with clients onsite for training, setup, and support.
Qualifications
4+ years of accounting experience, including experience interfacing with customers.
Bachelor's degree in accounting, finance, or a related field.
Strong problem-solving and analytical skills.
Excellent communication and interpersonal skills.
A passion for helping and working with people.
Ability to learn and adapt to new software systems quickly.
Understanding of accounting principles and financial regulations
Ability to travel overnight (50-60% depending on demand)
Responsibilities
Understand daily accounting operations including accounts receivable, accounts payable, bank reconciliation, payment reconciliation (deposits), and purchase order billing invoice reconciliation.
Basic understanding of financial reports (Balance Sheet, Income statement, and Trial Balance) and general ledger accounts and normal balances.
Ability to speak about accounting to audiences with various levels of accounting knowledge.
Lead the setup and configuration of the General Ledger module for new customer implementations.
Train customers on how to effectively use the HomeSource accounting system, including chart of accounts, A/R, A/P, cost tracking, and financial reporting.
Partner with clients to understand their existing accounting structure and recommend best practices for transition.
Provide both onsite and remote training, ensuring users are confident and fully functional in the system.
Troubleshoot issues, identify process improvements, and liaise with internal product teams to enhance the user experience.
Assist in testing new system features related to financial modules and provide feedback for product enhancements.
Maintain accurate records of client implementations, training sessions, and support requests.
Serve as a subject matter expert on HomeSource's accounting functionalities and integration points.
Compensation at HomeSource
We are committed to providing competitive compensation for all roles at HomeSource. We carefully consider multiple factors when determining compensation, including your skills, experience, and location while balancing internal equity relative to peers at the company.
Where You'll Work
Experience the best of both worlds with our innovative hybrid work model. Imagine having the freedom to work from the comfort of your own home three days a week, while also enjoying the energy and camaraderie of our vibrant office environment for two days. It's the perfect fusion of flexibility and collaboration that empowers you to thrive.
At the heart of our culture is a commitment to fostering an exceptional work-life balance. We believe that your personal well-being is as important as your professional growth. With our unique approach, you can seize control of your schedule, dedicating focused days to conquer tasks from home and immersing yourself in the team synergy at our office.
What We Offer
Competitive salary
Growth-oriented environment with potential for career advancement.
Collaborative and inclusive company culture.
Access to cutting-edge technologies and tools.
Equal Opportunity Statement
HomeSource provides equal employment opportunities to all applicants and employees. We prohibit discrimination and harassment of any type with regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws.
Auto-ApplyAccountant Market Data
Staff accountant job in Wilmington, DE
Someone who has done invoicing Excel spreadsheets Accounts payable License management Maybe a junior accountant or some such person Additional Information Send me your resumes at vince@alphait. us Pozdrawiam / With best regards, Alpha Technologies Inc (USA) Vince Taylor
Sr Technical Recruitment Specialist
Junior Staff Accountant
Staff accountant job in West Chester, PA
Stream Companies is an award-winning automotive software and digital marketing company. We've been doing this since 1996, and our team is providing high-tech and high-touch solutions for thousands of our clients, including some huge household names. We specialize in the full suite of SEO and SEM offerings, being a full-service integrated agency, and complete media production, including TV and radio ad creation and placement.
We are searching for someone with great energy to join our team. You will become fully conversant with all aspects of accountancy. This is a great opportunity to grow your career!
This role will be responsible for month-end close reconciliation and assist with various accounting tasks, including billing, AP, AR, taxes, technical accounting, FP&A, and Treasury. A strong candidate will help to identify, facilitate, and execute accounting process simplification, standardization, automation, or other efficiency opportunities.
Essential and Responsibilities:
Prepare workpapers and monthly reconciliations for the controller's review
Prepare and enters journal entries ensuring they have proper back up to substantiate the entry, reconciles and analyzes specific account ledgers
Assist in the financial analyses related to monthly/quarterly financial results
Work with team members to document key accounting processes and internal controls
Establish and maintains accounting records
Interpret accounting data, analyzes reports, and recommends action to be taken
Ensure General Ledger accounts are accurately stated based on compiled reconciliation procedures and agreement with source documents
Consistent exercise of independent judgment and discretion in matters of significance
Identify opportunities for increasing efficiencies within our internal systems and for enhancing the internal controls over financial reporting
Qualifications:
Bachelor's Degree in Accounting/Finance is required; or at least 1 year of experience in public accounting
Proficient in Excel and other MS Office software; experience with NetSuite preferred
Skills & Experience:
Strong knowledge of US GAAP, CPA is a plus
Detail-oriented, strong analytical skills, curious mind, and problem-solving abilities
Desire to grow and willingness to learn
Knowledge and experience in designing RPA projects, using data analytics and/or visualization apps is plus
Assistant Controller - Commercial Engines
Staff accountant job in West Chester, PA
SummaryThe Assistant Controller for Commercial Engines will be responsible for supporting GE Aerospace's priority of providing accurate, timely and GAAP-compliant financial information for use by internal and external stakeholders. The role will support the Commercial Engines Controller with operational and technical accounting matters and deliverables. Key responsibilities include driving technical accounting compliance with U.S. GAAP standards, supporting the preparation, review, and submission of data requests for 10-Q/10-K filings, maintaining financial and operational internal controls, and leading accounting process simplification through the application of Lean principles.Job Description
Roles and Responsibilities
Provide and document technical accounting guidance on leasing, revenue recognition, contractual liabilities and financial statement disclosures
Proactively communicate with Finance and FP&A to ensure the impact of accounting matters are understood and forecasted timely
Assist with the review of Commercial Engines balance sheets and align commentary with operational drivers across product lines
Assist with preparing the quarterly Commercial Engines and Services (CES) Financial Reporting Package (FRP)
Review quarterly disclosure requests, including RPO
Partner with the Commercial Engines Controller on strategic initiatives, such as reducing close cycle time
Lead annual and semi-annual reviews across product lines, including impairment reviews (e.g., intangibles and fixed assets) and physical inventories
Review and approve monthly lease engine payments
Maintain and update Commercial Engines SOPs
Ensure internal controls over financial reporting are designed and operating effectively in accordance with Sarbanes-Oxley (SOX) requirements and remediate deficiencies timely
Drive adherence to U.S. GAAP, GE GAP, and GE Aerospace SOPs
Champion FLIGHT DECK by applying Lean principles, developing standard work, and using structured problem solving
Required Qualifications
Certified Public Accountant
Bachelor's degree in accounting from an accredited university or college
8-15 years of experience in accounting
Strong written and verbal communication skills
Desired Characteristics
Proven analytical and organizational ability
Proven capability to plan and execute several projects simultaneously
Proven ability to deliver results on time
Ability to anticipate, communicate, report and resolve challenges
Ability to influence cross-functionally and drive change with urgency
The base pay range for this position is $128,800.00 - 171,700.00 USD Annual. The specific pay offered may be influenced by a variety of factors, including the candidate's experience, education, and skill set. This position is also eligible for an annual discretionary bonus based on a percentage of your base salary. This posting is expected to close on 01/26/26.
Healthcare benefits include medical, dental, vision, and prescription drug coverage; access to a Health Coach, a 24/7 nurse-based resource; and access to the Employee Assistance Program, providing 24/7 confidential assessment, counseling and referral services. Retirement benefits include the GE Retirement Savings Plan, a tax-advantaged 401(k) savings opportunity with company matching contributions and company retirement contributions, as well as access to Fidelity resources and planning consultants. Other benefits include tuition assistance, adoption assistance, paid parental leave, disability insurance, life insurance, and paid time-off for vacation or illness.
General Electric Company, Ropcor, Inc., their successors, and in some cases their affiliates, each sponsor certain employee benefit plans or programs (
i.e
., is a “Sponsor”). Each Sponsor reserves the right to terminate, amend, suspend, replace, or modify its benefit plans and programs at any time and for any reason, in its sole discretion. No individual has a vested right to any benefit under a Sponsor's welfare benefit plan or program. This document does not create a contract of employment with any individual.
Additional Information
GE Aerospace offers a great work environment, professional development, challenging careers, and competitive compensation. GE Aerospace is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, protected veteran status or other characteristics protected by law.
GE Aerospace will only employ those who are legally authorized to work in the United States for this opening. Any offer of employment is conditioned upon the successful completion of a drug screen (as applicable).
Relocation Assistance Provided: No
Auto-ApplyFrench Canadian-Accountant I
Staff accountant job in North Wales, PA
Mindlance is a national recruiting company which partners with many of the leading employers in the Life Sciences, IT, and Financial Services sectors, feel free to check us out at *************************
Job DescriptionMandatory-
Must Be Fluent In French Canadian
perform vlookups or pivot tables in Excel
AR EXPERIENCE.
• Must be able to analyze customer deductions
• Collections-
• Process requests for credit/debit memos
• Must meet month end and quarter end deadlines.
• Deduction resolution
• Must have strong communication skills
• Oracle (receivables module)
• Sap experience (moved to SAP down the road)
• Advanced excel (v-lookups, pivot tables)
• -Candidate will managing one of wholesale customers.
• The Sr. A/R Administrator, Deductions is responsible for Performs researching of deductions for key customer portfolio.
• This includes matching open deductions against open credit memos and analyzing any differences where applicable as well as obtaining backup documentation from customer when not on file
• Collection efforts are to be initiated when a customer deduction is deemed invalid.
• Take lead role in coordination of efforts on specific deduction types with Sr Acctg Clerk, Deductions.
• This position has internal contacts with internal sales staff and external contact with customer accounts payable and receivables departments.
QualificationsMust Be Fluent In French Canadian
perform vlookups or pivot tables in Excel
A/R
Additional Information
Staff Accountant
Staff accountant job in West Chester, PA
Key Responsibilities:
Assist in the preparation of monthly, quarterly, and annual financial statements.
Perform bank reconciliations and ensure accuracy of financial transactions.
Ensure all accounts payable invoices are reconciled with active purchase orders and paid on time.
Accurately calculating and processing complex customer invoices.
Work with other internal departments to resolve billing issues.
Participate in annual physical inventory process.
Monitor and track fixed assets and depreciation schedules.
Provide ad\-hoc financial reports and support as needed.
Assist with internal audits.
Other duties as assigned.
Qualifications:
Degree in Accounting, Finance,
2\-5 years of proven experience as a Staff Accountant or similar role.
Strong knowledge of accounting principles and practices.
Proficient in Microsoft Excel and accounting software (e.g., QuickBooks, SAP, or similar).
"}}],"is Mobile":false,"iframe":"true","job Type":"Full time","apply Name":"Apply Now","zsoid":"50687232","FontFamily":"PuviRegular","job OtherDetails":[{"field Label":"Industry","uitype":2,"value":"Financial Services"},{"field Label":"City","uitype":1,"value":"West Chester"},{"field Label":"State\/Province","uitype":1,"value":"Ohio"},{"field Label":"Zip\/Postal Code","uitype":1,"value":"45069"}],"header Name":"Staff Accountant","widget Id":"307738000000072311","is JobBoard":"false","user Id":"307738000000083003","attach Arr":[],"custom Template":"5","is CandidateLoginEnabled":false,"job Id":"307738000004375104","FontSize":"15","google IndexUrl":"https:\/\/fxstaffing.zohorecruit.com\/recruit\/ViewJob.na?digest=aynh ZahhyL67OewDlbXUznbaf76ZgRNiteIvsKfBEy0\-&embedsource=Google","location":"West Chester","embedsource":"CareerSite","indeed CallBackUrl":"https:\/\/recruit.zoho.com\/recruit\/JBApplyAuth.do","logo Id":"c1hl26220e4ef4097400797605d5fa0dea6e2"}
Accountant
Staff accountant job in Philadelphia, PA
Artech is the 10th Largest IT Staffing Company in the US, according to Staffing Industry Analysts' 2012 annual report. Artech provides te chnical expertise to fill gaps in clients' immediate skill-sets availability, deliver emerging technology skill-sets, refresh existing skill base, allow for flexibility in project planning and execution phases, and provide budgeting/financial flexibility by offering contingent labor as a variable cost.
Job Description
Position: Accountant
Duration:2+
months
Location:
PHILADELPHIA PA 19107
Prepare journal
entries and account reconciliations for internal use software, leased assets,
other receivables, prepaids, other payables, and cash accounts. Assist with
monthly allocation, close, and consolidation process. Analyze, forecast and
budget internal use expenses. Assist with audit requests, financial statements,
footnotes, and other external reporting. Special projects associated with
general ledger.
Qualifications
Share resume asap .
Additional Information
For more information, please contact
Shubham
************
Senior Accountant
Staff accountant job in Philadelphia, PA
The Senior Accountant plays a critical role in the Finance & Administration office, responsible for maintaining accurate financial records, preparing financial reports, posting journal entries, and ensuring compliance with university policies and external regulations.
This individual will contribute to the overall financial health of the University by performing complex accounting tasks, analyzing financial data, and providing support to various departments.
The Senior Accountant will also assist in the preparation for audits and contribute to the continuous improvement of accounting processes.
Assistant Controller
Staff accountant job in Philadelphia, PA
Title: Assistant Controller / Accounting Manager
Department: Corporate Accounting
Reports To: Chief Accounting Officer
About Method Co.
Method Co. is an innovative real estate development and hospitality management company known for creating distinctive apartment hotels, boutique hotels, and culinary experiences across the country. As we continue to expand nationwide, we are growing our corporate accounting team and seeking talented, motivated leaders who embody integrity, collaboration, and operational excellence.
Role Summary
The Assistant Controller / Accounting Manager will play a key leadership role within the Corporate Accounting team, overseeing a group of Senior Accountants responsible for the financial reporting of a diverse real estate and hospitality portfolio. This position will own the month-end close process, ensure GAAP-compliant financial reporting, strengthen internal controls, and drive continuous process improvement across the accounting function.
Team Member Expectations
Serve as a cultural ambassador of Method Co., fostering strong internal and external relationships with team members, investors, partners, auditors, and lenders.
Cultivate a collaborative, high-performance team environment across the accounting function.
Model integrity, professionalism, accountability, and sound judgment.
Ensure a secure, healthy, and compliant work environment.
Maintain strict confidentiality and adhere to all Method Co. policies.
Essential Functions & Responsibilities
Lead, mentor, and manage a team of 2-4 Senior Accountants; establish clear goals, provide regular feedback, and support professional development.
Oversee the full month-end close cycle for a multi-property real estate and hospitality portfolio, including review and approval of journal entries, accruals, and reconciliations.
Prepare and deliver accurate, GAAP-compliant financial statements (IS, BS, CF, RE) and detailed variance analyses for senior leadership, investors, and lenders.
Consolidate property-level results into portfolio-wide reporting packages and present financial insights to executive leadership.
Develop, document, and enhance standard operating procedures (SOPs) and internal controls to increase efficiency, accuracy, and compliance.
Oversee treasury and cash management functions: cash forecasting, bank reconciliations, fund transfers, and resolution of banking issues.
Coordinate the annual budget and reforecast cycles; analyze performance versus plan and recommend corrective actions.
Serve as primary liaison for external audits and tax engagements; prepare year-end audit schedules and support tax filing requirements.
Act as system administrator and subject matter expert for Yardi, Sage Intacct, Concur, and integrations such as Mews and Omniboost; champion data accuracy and workflow automation.
Ensure compliance with GAAP, regulatory requirements, and internal policies, staying current with accounting standards and best practices.
Qualifications
Bachelor's degree in Accounting required; relevant certifications a plus.
4-8 years of progressive accounting experience, preferably in real estate, hospitality, or public accounting.
Minimum 2 years of supervisory experience with demonstrated leadership capabilities.
Strong understanding of GAAP and tax-basis accounting.
Proven track record managing accounting operations for diversified real estate or hospitality portfolios.
Ability to manage multiple priorities and meet tight deadlines in a fast-paced environment.
Excellent communication, analytical, and organizational skills.
Demonstrated ability to partner cross-functionally with asset management, property operations, and external stakeholders.
Technical Skills
Yardi Voyager
Sage Intacct or comparable ERP
Concur
Treasury/banking platforms (First Trust, JPMorgan, Webster, PNC, etc.)
Advanced Microsoft Excel; proficiency in Word and PowerPoint
Familiarity with POS/PMS integrations (e.g., Mews, Omniboost)
Knowledge, Skills & Abilities
Strong written and verbal communication skills.
Exceptional analytical abilities and attention to detail.
Ability to read, write, and interpret detailed financial information.
Desire to work collaboratively as part of a growing, dynamic team with opportunities to learn and advance.
Compensation & Benefits
Competitive salary, commensurate with experience
Medical, dental, and vision insurance
401(k) with safe harbor match (100% up to 3%, 50% for the next 2%)
Discretionary annual bonus of up to 10%, based on performance
Paid Time Off: 10 days per year
Personal Time: 5 days per year + 1 floating day
Paid Holidays: 7 per year
Auto-ApplyAssistant Controller
Staff accountant job in Philadelphia, PA
Title: Assistant Controller / Accounting Manager
Department: Corporate Accounting
Reports To: Chief Accounting Officer
About Method Co.
Method Co. is an innovative real estate development and hospitality management company known for creating distinctive apartment hotels, boutique hotels, and culinary experiences across the country. As we continue to expand nationwide, we are growing our corporate accounting team and seeking talented, motivated leaders who embody integrity, collaboration, and operational excellence.
Role Summary
The Assistant Controller / Accounting Manager will play a key leadership role within the Corporate Accounting team, overseeing a group of Senior Accountants responsible for the financial reporting of a diverse real estate and hospitality portfolio. This position will own the month-end close process, ensure GAAP-compliant financial reporting, strengthen internal controls, and drive continuous process improvement across the accounting function.
Team Member Expectations
Serve as a cultural ambassador of Method Co., fostering strong internal and external relationships with team members, investors, partners, auditors, and lenders.
Cultivate a collaborative, high-performance team environment across the accounting function.
Model integrity, professionalism, accountability, and sound judgment.
Ensure a secure, healthy, and compliant work environment.
Maintain strict confidentiality and adhere to all Method Co. policies.
Essential Functions & Responsibilities
Lead, mentor, and manage a team of 2-4 Senior Accountants; establish clear goals, provide regular feedback, and support professional development.
Oversee the full month-end close cycle for a multi-property real estate and hospitality portfolio, including review and approval of journal entries, accruals, and reconciliations.
Prepare and deliver accurate, GAAP-compliant financial statements (IS, BS, CF, RE) and detailed variance analyses for senior leadership, investors, and lenders.
Consolidate property-level results into portfolio-wide reporting packages and present financial insights to executive leadership.
Develop, document, and enhance standard operating procedures (SOPs) and internal controls to increase efficiency, accuracy, and compliance.
Oversee treasury and cash management functions: cash forecasting, bank reconciliations, fund transfers, and resolution of banking issues.
Coordinate the annual budget and reforecast cycles; analyze performance versus plan and recommend corrective actions.
Serve as primary liaison for external audits and tax engagements; prepare year-end audit schedules and support tax filing requirements.
Act as system administrator and subject matter expert for Yardi, Sage Intacct, Concur, and integrations such as Mews and Omniboost; champion data accuracy and workflow automation.
Ensure compliance with GAAP, regulatory requirements, and internal policies, staying current with accounting standards and best practices.
Qualifications
Bachelor's degree in Accounting required; relevant certifications a plus.
4-8 years of progressive accounting experience, preferably in real estate, hospitality, or public accounting.
Minimum 2 years of supervisory experience with demonstrated leadership capabilities.
Strong understanding of GAAP and tax-basis accounting.
Proven track record managing accounting operations for diversified real estate or hospitality portfolios.
Ability to manage multiple priorities and meet tight deadlines in a fast-paced environment.
Excellent communication, analytical, and organizational skills.
Demonstrated ability to partner cross-functionally with asset management, property operations, and external stakeholders.
Technical Skills
Yardi Voyager
Sage Intacct or comparable ERP
Concur
Treasury/banking platforms (First Trust, JPMorgan, Webster, PNC, etc.)
Advanced Microsoft Excel; proficiency in Word and PowerPoint
Familiarity with POS/PMS integrations (e.g., Mews, Omniboost)
Knowledge, Skills & Abilities
Strong written and verbal communication skills.
Exceptional analytical abilities and attention to detail.
Ability to read, write, and interpret detailed financial information.
Desire to work collaboratively as part of a growing, dynamic team with opportunities to learn and advance.
Compensation & Benefits
Competitive salary, commensurate with experience
Medical, dental, and vision insurance
401(k) with safe harbor match (100% up to 3%, 50% for the next 2%)
Discretionary annual bonus of up to 10%, based on performance
Paid Time Off: 10 days per year
Personal Time: 5 days per year + 1 floating day
Paid Holidays: 7 per year
Auto-ApplyBookkeeper
Staff accountant job in Conshohocken, PA
At Merion Health Partners, the locally-owned and operator of multiple AFC Urgent Care offices in Greater Philadelphia, we are recruiting for a highly-motivated Bookkeeper to join our growing team. The ideal candidate will be in alignment with our company's five core values: Core Value #1 Be CommittedCore Value #2 Display EmpathyCore Value #3 Be a Team PlayerCore Value #4 Have IntegrityCore Value #5 Show Ownership Job requirements include but are not limited to:· Maintain accounting records for multiple entities· Record day-to-day financial transactions and complete the posting process· Prepare month-end journal entries· Perform all activities related to the accounts payable function including reviewing, coding and payment processing· Prepare bank reconciliations for multiple bank accounts· Perform payroll functions in an accurate and timely manner· Assist with various human resource functions· Work closely with the Director of Finance and Administration Qualifications:· Bachelor's degree in Accounting preferred or equivalent experience· Minimum of 5 years of relevant accounting experience· Must be proficient in QuickBooks Online· Proficient knowledge of Microsoft Office software, including Excel and Word· High degree of accuracy and attention to detail· Able to work in office, Monday - Friday Compensation Package:· Salary based upon relevant work experience· Health insurance· Vision insurance· Dental Insurance· Short-term disability· Group-term life insurance· Accidental death and dismemberment insurance· 401(k)· Personal time-off (PTO) If interested, please submit resume and cover lett Compensation: $20.00 - $30.00 per hour
PS: It's All About You!
American Family Care has pioneered the concept of convenient, patient-centric healthcare. Today, with more than 250 clinics and 800 in-network physicians caring for over 6 million patients a year, AFC is the nation's leading provider of urgent care, accessible primary care, and occupational medicine. Ranked by Inc. magazine as one of the fastest-growing companies in the U.S., AFC's stated mission is to provide the best healthcare possible, in a kind and caring environment, while respecting the rights of all patients, in an economical manner, at times and locations convenient to the patient.
If you are looking for an opportunity where you can make a difference in the lives of others, join us on our mission. We invite you to grow with us and experience for yourself the satisfying and fulfilling work that the healthcare industry provides.
Please note that a position may be for a company-owned or franchise location. Each franchise-owned and operated location recruits, hires, trains, and manages their own employees, sets their own employment policies and procedures, and provides compensation and benefits determined by that franchise owner. Company-owned locations provide a comprehensive benefits package including medical, dental, vision, disability, life insurance, matching 401(k), and more.
We are an Equal Opportunity Employer.
Auto-ApplyFull-Charge Bookkeeper
Staff accountant job in Gibbsboro, NJ
Job DescriptionJob Title: Full-Charge Bookkeeper Firm: Schorr Rosenberg Accounting Services PC About Us: Schorr Rosenberg Accounting Services PC] is a well-established Accounting & Consulting firm providing comprehensive accounting and advisory services to a diverse client base. We pride ourselves on accuracy, integrity, and personalized client support. As our firm continues to grow, we are seeking a skilled and detail-oriented Full-Charge Bookkeeper to join our team.
Position Summary:
We are looking for an experienced Full-Charge Bookkeeper to manage day-to-day accounting for multiple clients using QuickBooks Online. This is a hands-on, in-office position that requires a strong understanding of accounting principles and excellent organizational skills.
Responsibilities:
Maintain and manage bookkeeping for multiple clients in QuickBooks Online
Categorize and record transactions accurately
Reconcile bank and credit card accounts
Gross-up loan balances and payroll (manual calculations as needed)
Prepare and review monthly financial reports for clients
Communicate with clients to resolve discrepancies and gather missing information
Ensure accurate and timely posting of journal entries
Collaborate with CPAs on tax planning and year-end adjustments
Requirements:
3+ years of bookkeeping experience, preferably in a public accounting or multi-client environment
Proficiency in QuickBooks Online is required
Strong knowledge of accounting principles and general ledger management
Experience with bank reconciliations, payroll entries, and loan accounting
High attention to detail and strong analytical skills
Ability to prioritize tasks and manage multiple client files
Excellent verbal and written communication skills
Comfortable working independently and as part of a team
Must be able to work on-site at our office during business hours
Preferred Qualifications:
Experience with accounting for small businesses across various industries
Knowledge of third-party payroll providers (e.g., Gusto, ADP, Paychex)
Associate or bachelors degree in accounting or related field is a plus, but not required
What We Offer:
Competitive compensation based on experience
Supportive, team-oriented work environment
Opportunities for professional development
Stable, long-term position with a growing firm
How to Apply:
Please send your resume and a brief cover letter to ***********************. We look forward to hearing from you!
Easy ApplyAssistant Controller
Staff accountant job in Malvern, PA
The Assistant Controller position, which reports directly to the Director of Finance and Controller, is responsible for supporting the financial operations of IMC. The Assistant Controller is integral to maintaining the financial integrity of IMC, supporting various financial processes, and ensuring adherence to regulatory standards. The Assistant Controller should work closely with the Director of Finance and Controller to ensure accurate and compliant financial reporting.
Duties and Responsibilities:
• Help coordinate and prepare monthly financial statements, perform account reconciliations and analyses, and prepare journal entries in accordance with Generally Accepted Accounting Principles.
• Establish and maintain internal controls, assist in formulating policies, procedures and best practices, and participate in preparing for the annual audits.
• Assist with the budgeting process, management of forecasts and analyzing cost variances.
• Manage all aspects of the general ledger, payroll and 401K administration.
• Supervise, mentor and train junior staff members in accounting principles and best practices.
• Coordinate with Project Accounting to ensure accuracy and timeliness of information to and from accounts payable as they impact project costing.
• Accumulate job cost data from timesheets, ensuring accuracy and timeliness of information as they impact project costing. Assist with the day-to-day maintenance of online payroll and HR technology provider.
• Supervise the preparation of all payroll related weekly, monthly, quarterly and annual returns, to include form W-2, ensure hands-on understanding of all processes.
• Supervise the accuracy and timely preparation of annual IRS form 1099.
• Supervise the preparation of sales/use tax returns and develop an expert level knowledge of local and state tax regulations as they pertain to the construction industry.
• Ensure all local, county, state licenses to include contractor, business and tax accounts are proactively acquired and maintained.
• Support the Director of Finance and Controller with IMC's Subcontractor prequalification process.
• Maintain confidentially of all financial and payroll information.
• Perform other duties as assigned
The Assistant Controller position, which reports directly to the Director of Finance and Controller, is responsible for supporting the financial operations of IMC. The Assistant Controller is integral to maintaining the financial integrity of IMC, supporting various financial processes, and ensuring adherence to regulatory standards. The Assistant Controller should work closely with the Director of Finance and Controller to ensure accurate and compliant financial reporting.
Duties and Responsibilities:
• Help coordinate and prepare monthly financial statements, perform account reconciliations and analyses, and prepare journal entries in accordance with Generally Accepted Accounting Principles.
• Establish and maintain internal controls, assist in formulating policies, procedures and best practices, and participate in preparing for the annual audits.
• Assist with the budgeting process, management of forecasts and analyzing cost variances.
• Manage all aspects of the general ledger, payroll and 401K administration.
• Supervise, mentor and train junior staff members in accounting principles and best practices.
• Coordinate with Project Accounting to ensure accuracy and timeliness of information to and from accounts payable as they impact project costing.
• Accumulate job cost data from timesheets, ensuring accuracy and timeliness of information as they impact project costing. Assist with the day-to-day maintenance of online payroll and HR technology provider.
• Supervise the preparation of all payroll related weekly, monthly, quarterly and annual returns, to include form W-2, ensure hands-on understanding of all processes.
• Supervise the accuracy and timely preparation of annual IRS form 1099.
• Supervise the preparation of sales/use tax returns and develop an expert level knowledge of local and state tax regulations as they pertain to the construction industry.
• Ensure all local, county, state licenses to include contractor, business and tax accounts are proactively acquired and maintained.
• Support the Director of Finance and Controller with IMC's Subcontractor prequalification process.
• Maintain confidentially of all financial and payroll information.
• Perform other duties as assigned
• BS Degree in Accounting; CPA license or MBA preferred, yet not required.
• 5+ years of experience in construction financial/general ledger accounting
• Excellent communication, planning, organization, problem-solving and analysis skills
• Self-motivated and detail-oriented with excellent organizational skills and ability to prioritize, multi-task and meet deadlines.
Skills & Requirements • BS Degree in Accounting; CPA license or MBA preferred, yet not required.
• 5+ years of experience in construction financial/general ledger accounting
• Excellent communication, planning, organization, problem-solving and analysis skills
• Self-motivated and detail-oriented with excellent organizational skills and ability to prioritize, multi-task and meet deadlines.
Public Accountant
Staff accountant job in Upper Dublin, PA
Our client is a well-established, client-focused regional public accounting firm specializing in audit, tax, and consulting services for small to mid-sized businesses. They take pride in delivering personalized, high-quality services to our diverse client base. Their culture fosters close-knit teams, professional development, and work-life balance.
Position Overview:
You will have the opportunity to work directly with clients, providing hands-on experience in both audit and tax services. You'll be exposed to a wide variety of industries and will work closely with partners and staff on engagements. This position offers the potential for Partner track in a supportive, dynamic work environment.
Key Responsibilities:
Assist with the preparation and review of financial statements for clients.
Prepare federal and state tax returns for individuals, businesses, and nonprofits.
Conduct audits and reviews for small and mid-sized companies, including planning, testing, and reporting.
Participate in consulting engagements related to internal controls, financial systems, and business strategy.
Communicate directly with clients to gather information, answer questions, and provide assistance with financial matters.
Stay up-to-date on tax law changes and accounting standards to ensure compliance.
Collaborate with team members to ensure timely completion of engagements.
Assist in the training and development of junior staff.
Qualifications:
Bachelor's degree in Accounting or related field (required).
CPA designation or progress towards certification
2+ years of experience in public accounting, with a focus on audit, tax, or both.
Knowledge of accounting principles (GAAP) and tax regulations.
Experience with accounting software and Microsoft Excel.
Strong interpersonal and communication skills, with a client-focused mindset.
Ability to work independently, take initiative, and meet deadlines.
Detail-oriented and strong organizational skills.
Staff Accountant II
Staff accountant job in Philadelphia, PA
We Are Committed to an Inclusive Workplace At the Philadelphia Museum of Art, we actively seek to employ a diverse group of people who embody our organizational values. We welcome and encourage individuals of all backgrounds to apply, especially those from marginalized and underrepresented groups in the museum field, who are inspired by our shared purpose and enjoy working collaboratively with others.
We are proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to age, ancestry, citizenship or immigration status, color, disability, ethnicity, familial status, gender identity and/or expression, genetic information, marital status, national origin, race, religion, sex, sexual orientation, veteran status, or any other protected status.
Working for the Controller, Staff Accountant II is critical to the execution of the daily accounting function of the Museum, and as such, the successful candidate must work efficiently and effectively in a fast-paced multi-faceted environment. This position will contribute to a variety of accounting and operational processes while supporting a critically important mission. This role requires an experienced professional with strong knowledge of fund accounting, and internal controls in a nonprofit environment.
Specifically, you will:
Maintain general ledger and ensure accurate recording of all financial transactions.
Prepare journal entries, allocations and adjustments recorded in the financial management system.
Reconcile bank accounts, credit cards and balance sheet accounts monthly.
Maintains detailed accounting records for all endowment and designated funds to record investment activity (income, unrealized/realized gains/losses, fees, unitization, and asset allocations) from custodial and investment manager statements.
Support financial accounting for balance sheet analysis and research.
Assist with month-end close process and year end close process.
Support the preparation of financial reports for funders, board members and management.
Support the annual audit, Form 990 preparation and other regulatory filings.
Review the annual audit package for completeness, preparing footnotes and documentation related to endowment and investment activity.
Prepares all required schedules related to but not limited to endowment and investments for audit and tax reporting to support the preparation of the organization's Form 990 and Form 990T, related schedules and disclosures.
Prepare debt compliance and business data reports (i.e. cash flow analysis and projections) as needed.
Perform other duties as assigned.
Your background and experience include:
Bachelor's degree in accounting, finance, business administration or related field.
Certified Public Accountant or equivalent, preferred.
Minimum of 3-5 years' experience as an accountant, including experience in the nonprofit environment required and endowment accounting experience preferred.
Strong organizational skills, diligence, and ability to working collaboratively.
Excellent written and oral communication skills.
Proficient with financial database systems, reporting tools and software programs, Microsoft Office 365 required, and familiarity with Blackbaud Financial Edge and Raiser's Edge preferred.
CPA or CPA candidate preferred.
Experience preparing for audits and Form 990 filings preferred.
Position and Compensation Details
The salary for this position is $70,000.
This position is Full-Time, Exempt, and 35 hours per week.
This position reports to Controller
Physical requirements:
Able to remain stationary for extended periods of time, to utilize computers and other office equipment required of this job, to perform physically administrative duties in a typical interior office environment, gallery, or exhibit space, and to access most public and staff areas of the museum campus
Background check required after a conditional job offer is made. Consideration of the background check will be tailored to the requirements of the job.
Institutional Requirements
Upholds the professional standards of the field, always acts in a manner that is consistent with the best interests of the museum and protects and enhances its reputation and standing within the community of museums.
Adheres to the museum's code of ethics and Employee Handbook and avoids any real or perceived conflicts of interest.
Shows respect for co-workers and visitors and an understanding of and appreciation for the diversity of the museum's staff, volunteers, and audiences.
Maintains confidentiality.
Adheres to all museum protocols, procedures, rules, and policies.
Application Timeline
Applications will be reviewed on a rolling basis. We encourage candidates to apply early as the position will close once we have a robust applicant pool or a candidate has been selected.
What We Offer
Our employees are at the center of the museum. As an employee, you will have access to numerous museum perks including, but not limited to:
Free general admission to the museum for you and your immediate family
Discounted guest tickets for admission
Discounts on gift memberships
Special staff tours and presentations from our curatorial and conservation teams
Discounts at the museum restaurant, museum cafés, and museum retail and online stores
We offer a comprehensive benefits package for employees including:
Medical, dental, and vision benefits
Fully paid short-term disability insurance, long-term disability insurance, and life insurance
Health savings or flexible spending account program
Retirement savings program with museum match
Paid vacation, personal days, sick days, and holidays
*Eligibility for certain benefits is based on a variety of factors including the employee's regular schedule and tenure.
Auto-ApplyFixed Asset Accountant
Staff accountant job in King of Prussia, PA
Founded in 1967, ImageFIRST is a leading healthcare services organization. Acquired by private equity firm Calera Capital in 2018 and subsequently recapitalized in 2023 through a continuation fund vehicle, ImageFIRST has undergone rapid growth in its transformation as the largest national healthcare linen rental and laundry services provider. The Company serves over 25,000 outpatient and hospital customers through a nationwide network comprising 85 sites and 650 delivery routes. The leaders in infection prevention, ImageFIRST, prides itself on improving both staff and patient experiences through a premium product offering and white-glove service model.
Check out our company page: ***********************************
We are seeking an experienced Fixed Assets Accountant to join our Accounting team in King of Prussia, PA.
This is an opportunity to demonstrate your skill set in a fast growing organization!
The Fixed Asset Accountant reports to the Director of Corporate Accounting. The Fixed Asset Accountant is a key role in the organization and works closely with the engineering and IT teams to properly account for and track fixed assets and capital expenditures projects (CAPEX). The position also collaborates with accounts payable, field locations, corporate accounting, forecasting, planning, and analysis teams to manage and account for fixed assets and ASC 842 lease accounting, ensuring compliance with US GAAP and company policies.
Responsibilities & Qualifications
Job Responsibilities
Manage the lifecycle of fixed assets from acquisition to disposal
Maintain the fixed asset ledger by location in Oracle, including additions, retirements and depreciation
Monitor purchase orders in Oracle and match invoices submitted to the proper project
Ensuring accurate capex and depreciation expense calculations by US GAAP and company policies
Ensuring the accuracy of fixed asset subledgers and their reconciliation with the general ledger
Work closely with the engineering and IT teams to properly record fixed assets in a timely and accurate way when they are brought into service
Develop and maintain reporting to track actual, committed, and future costs for all capex projects
Proficient in the project management (PMO) process and procedures to manage projects effectively within the organization, including project initiation, planning, execution, monitoring, and closure, ensuring consistency and efficiency across all projects
Manage and report financial transactions related to leases, ensuring compliance with accounting standards, and providing accurate financial reporting
Analyze lease agreements, track payments, prepare journal entries, and reconcile accounts
Proficient with lease remeasurements and journal entry resets for applicable leases in accordance with ASC 842
Provide necessary documentation and analysis to support external annual audits of fixed assets and ASC 842 Lease Accounting
Draft fixed asset and ASC 842 footnote disclosures for the year-end audit
Track and analyze capital expenditures for budgeting and forecasting for financial planning
Prepare and record journal entries, prepare balance sheet reconciliations, analyze information for fixed assets, capex and ASC 842, and other special projects as assigned
Prepare relevant capex and ASC 842 board slides, quarterly analysis, and ad hoc analysis
Manage regular meetings with the engineering and IT teams to obtain the proper information needed to perform the responsibilities of this position
Provide relevant information to the tax consultant for proper tax reporting
Generate monthly financial reports and reconciliations accurately and timely manner
Work with engineering to close out projects upon completion and identify asset(s) and their associated costs to be transferred from CIP (Construction-In-Process) to Fixed Assets
Identify and calculate the value of assets with the assistance of engineering for acquisitions
Month-end procedures and reporting requirements related to fixed assets and capitalized costs, including the generation of reports and the preparation and posting of journal entries
Ad hoc reporting and analysis as required
Minimum Qualifications/Attributes:
Bachelor's degree in accounting required
Minimum of 5+ years of experience in fixed assets & ASC 842 lease accounting required
Thorough understanding and application of ASC 842 accounting for leases
Experience with LeaseHarbor software or similar software is required
Proficiency in Oracle is a plus
Proficient in US Generally Accepted Accounting Principles (US GAAP)
Proficient in Microsoft Office and advanced skills in Microsoft Excel, including VLOOKUPS, SUMIFS, and Pivot tables.
Excellent written and verbal communication skills, including the ability to effectively communicate details of financial information
Goal-oriented to flourish in a fast-paced environment with changing priorities
Ability to work independently and with a team, including various levels of management
Detail-oriented, professional attitude, take pride in accuracy of work, and be reliable
Demonstrate strong organizational, analytical, and problem-solving skills
Company Values & Benefits
ImageFIRST employees are expected to:
Be Respectful: Value all we come in contact with
Be Remarkable: Create a positive moment with every interaction
Be Safe: Keep ourselves and those around us safe
Be Honest: Be guided by truthfulness in all we do
Benefits:
Competitive pay
Medical, Dental, Vision
401k (match)
Paid Time Off Package
Great company culture
Collaborative team environment
EOE / Drug Free Workplace
ImageFIRST is an Equal Opportunity employer. All qualified applicants will receive consideration for employment without regard to sex, gender identity, sexual orientation, race, color, religion, nation origin, disability, protected Veteran status, age, or any other characteristic protected by applicable law. We are fueled by the talent, passion and the diversity of our associates.
Auto-ApplyFixed Asset Accountant
Staff accountant job in King of Prussia, PA
Founded in 1967, ImageFIRST is a leading healthcare services organization. Acquired by private equity firm Calera Capital in 2018 and subsequently recapitalized in 2023 through a continuation fund vehicle, ImageFIRST has undergone rapid growth in its transformation as the largest national healthcare linen rental and laundry services provider. The Company serves over 25,000 outpatient and hospital customers through a nationwide network comprising 85 sites and 650 delivery routes. The leaders in infection prevention, ImageFIRST, prides itself on improving both staff and patient experiences through a premium product offering and white-glove service model.
Check out our company page: ***********************************
We are seeking an experienced Fixed Assets Accountant to join our Accounting team in King of Prussia, PA.
This is an opportunity to demonstrate your skill set in a fast growing organization!
The Fixed Asset Accountant reports to the Director of Corporate Accounting. The Fixed Asset Accountant is a key role in the organization and works closely with the engineering and IT teams to properly account for and track fixed assets and capital expenditures projects (CAPEX). The position also collaborates with accounts payable, field locations, corporate accounting, forecasting, planning, and analysis teams to manage and account for fixed assets and ASC 842 lease accounting, ensuring compliance with US GAAP and company policies.
Responsibilities & Qualifications
Job Responsibilities
Manage the lifecycle of fixed assets from acquisition to disposal
Maintain the fixed asset ledger by location in Oracle, including additions, retirements and depreciation
Monitor purchase orders in Oracle and match invoices submitted to the proper project
Ensuring accurate capex and depreciation expense calculations by US GAAP and company policies
Ensuring the accuracy of fixed asset subledgers and their reconciliation with the general ledger
Work closely with the engineering and IT teams to properly record fixed assets in a timely and accurate way when they are brought into service
Develop and maintain reporting to track actual, committed, and future costs for all capex projects
Proficient in the project management (PMO) process and procedures to manage projects effectively within the organization, including project initiation, planning, execution, monitoring, and closure, ensuring consistency and efficiency across all projects
Manage and report financial transactions related to leases, ensuring compliance with accounting standards, and providing accurate financial reporting
Analyze lease agreements, track payments, prepare journal entries, and reconcile accounts
Proficient with lease remeasurements and journal entry resets for applicable leases in accordance with ASC 842
Provide necessary documentation and analysis to support external annual audits of fixed assets and ASC 842 Lease Accounting
Draft fixed asset and ASC 842 footnote disclosures for the year-end audit
Track and analyze capital expenditures for budgeting and forecasting for financial planning
Prepare and record journal entries, prepare balance sheet reconciliations, analyze information for fixed assets, capex and ASC 842, and other special projects as assigned
Prepare relevant capex and ASC 842 board slides, quarterly analysis, and ad hoc analysis
Manage regular meetings with the engineering and IT teams to obtain the proper information needed to perform the responsibilities of this position
Provide relevant information to the tax consultant for proper tax reporting
Generate monthly financial reports and reconciliations accurately and timely manner
Work with engineering to close out projects upon completion and identify asset(s) and their associated costs to be transferred from CIP (Construction-In-Process) to Fixed Assets
Identify and calculate the value of assets with the assistance of engineering for acquisitions
Month-end procedures and reporting requirements related to fixed assets and capitalized costs, including the generation of reports and the preparation and posting of journal entries
Ad hoc reporting and analysis as required
Minimum Qualifications/Attributes:
Bachelor's degree in accounting required
Minimum of 5+ years of experience in fixed assets & ASC 842 lease accounting required
Thorough understanding and application of ASC 842 accounting for leases
Experience with LeaseHarbor software or similar software is required
Proficiency in Oracle is a plus
Proficient in US Generally Accepted Accounting Principles (US GAAP)
Proficient in Microsoft Office and advanced skills in Microsoft Excel, including VLOOKUPS, SUMIFS, and Pivot tables.
Excellent written and verbal communication skills, including the ability to effectively communicate details of financial information
Goal-oriented to flourish in a fast-paced environment with changing priorities
Ability to work independently and with a team, including various levels of management
Detail-oriented, professional attitude, take pride in accuracy of work, and be reliable
Demonstrate strong organizational, analytical, and problem-solving skills
Company Values & Benefits
ImageFIRST employees are expected to:
Be Respectful: Value all we come in contact with
Be Remarkable: Create a positive moment with every interaction
Be Safe: Keep ourselves and those around us safe
Be Honest: Be guided by truthfulness in all we do
Benefits:
Competitive pay
Medical, Dental, Vision
401k (match)
Paid Time Off Package
Great company culture
Collaborative team environment
EOE / Drug Free Workplace
ImageFIRST is an Equal Opportunity employer. All qualified applicants will receive consideration for employment without regard to sex, gender identity, sexual orientation, race, color, religion, nation origin, disability, protected Veteran status, age, or any other characteristic protected by applicable law. We are fueled by the talent, passion and the diversity of our associates.
Auto-ApplySenior Accountant
Staff accountant job in Flourtown, PA
SUMMARY OF JOB:
Responsible for general ledger input, analysis, and reconciliation for St. Joseph Villa
ESSENTIAL DUTIES AND RESPONSIBILITIES
Analyze and reconcile Cash accounts monthly
Analyze and reconcile the AR accounts monthly and/or as may be required for the balance sheet accounts including, but not limited to accounts receivable, prepaid expenses
Print trial balance and financial statements on monthly basis. Follow schedule as assigned by Controller for deadlines as dates vary monthly.
Respond to financial questions from management, in addition to reviewing variances with management and post adjusting entries to general ledger as needed.
Prepare and input journal entries monthly and maintain appropriate support for entries.
Processing of monthly and year-end close.
Close out month per procedure within prescribed time schedule.
Assist with annual procedures such as audit preparation, tax return preparation, and cost report preparation.
Assist with preparation of annual budget. Including setting up and maintaining budget detail within the general ledger module.
Provide back-up support for other functions in the Finance Office as appropriate.
Assist in studies, surveys, and special projects as assigned or necessary.
Provide reports for analysis purposes as required by management, including departmental reports.
Assist in the planning, implementation, and documentation of changes in the accounting procedures and systems required.
Participate in job and facility related training as appropriate.
Supervise AP Clerk as needed.
Adhere to organizational policies and procedures.
Demonstrate a commitment to Quality Improvement.
Adhere to Corporate Compliance Policies & Procedures.
Other duties assigned as related to essential functions of this position.
STANDARDS OF EXCELLENCE
STANDARD
EXPECTATION
Spirit of Unity and Teamwork
Willing to assist and support co-workers; flexible to a change in work assignment; participate in team meetings; value the contributions of all and include all in decisions that will affect them.
Respect
Recognize the dignity and value of each person; appreciate, embrace and celebrate diversity; speak to others and about others in a kind manner; respond to and give direction with emotional control; maintain privacy and confidentiality in personal matters; always knock on the door before entering a room; treat the property of others carefully and responsibly.
Spirit of Hospitality and Relationship Building
Greet each person I meet; welcome new residents, families, and co-workers; courteous and friendly in manner; build positive relationships.
Communication
Listen attentively to others and respond respectfully; share important information with those that need to know; address concerns with the appropriate persons and work with them together to resolve the concerns.
Responsibility, Sense of Ownership and Stewardship
Assumes responsibility for the Villa's reputation; open to new ideas and new approaches to the job.
Compassionate Care and Service
Respond to residents needs in a timely manner; take time to speak with family members; give timely feedback to persons who express concerns; foster a healing environment within the Villa community
EDUCATIONAL REQUIREMENTS:
Minimum five (5) years of related experience.
Minimum Bachelor's degree in accounting from an accredited college or university
EXPERIENCE/KNOWLEDGE/SKILLS:
One to two years minimum experience in Accounts Payable and Accounting duties
Experience with Microsoft Office
Experience with computer-based Accounts Payable and Accounting systems, preferably Paymerang and Point Click Care
Ability to organize, plan and keep operations current
Ability to interact with staff and residents
PHYSICAL AND ENVIRONMENTAL REQUIREMENTS:
Light physical effort
Lift/carry up to 20 lbs.
Balance of sedentary/mobility work
Occasional kneeling/stooping/crouching/reaching/bending
Occasionally moves/lifts supplies or equipment
Ability to communicate verbally
Reading/seeing/writing requires far and near visual acuity, field vision, and color vision to read written communications
Must be able to write legibly
Eye-hand coordination and finger dexterity to perform the duties of an Accounts Payable Clerk
#SJVH123
Auto-ApplyMarket Data Resource Accountant
Staff accountant job in Wilmington, DE
Candidate who can write micros Can read Bloomberg feeds should be on applications side and not on support/System Support Additional Information Send me your resumes at vince@alphait. us Pozdrawiam / With best regards, Alpha Technologies Inc (USA) Vince Taylor
Sr Technical Recruitment Specialist