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Fund Accountant
Eisneramper 4.8
Staff accountant job in Stamford, NY
At EisnerAmper, we look for individuals who welcome new ideas, encourage innovation, and are eager to make an impact. Whether you're starting out in your career or taking your next step as a seasoned professional, the EisnerAmper experience is one-of-a-kind. You can design a career you'll love from top to bottom - we give you the tools you need to succeed and the autonomy to reach your goals.
EisnerAmper is seeking Fund Accountants to join the Real Estate Systems Implementation Group (RESIG) practice, able to sit in a number of our offices. We are seeking someone who thrives in a growing environment and providing clients with exceptional services.
What it Means to Work for EisnerAmper:
You will get to be part of one of the largest and fastest growing accounting and advisory firms in the industry
You will have the flexibility to manage your days in support of our commitment to work/life balance
You will join a culture that has received multiple top "Places to Work" awards
We believe that great work is accomplished when cultures, ideas and experiences come together to create new solutions
We understand that embracing our differences is what unites us as a team and strengthens our foundation
Showing up authentically is how we, both as professionals and a Firm, find inspiration to do our best work
What Work You Will be Responsible For:
Contribute toward a team covering one or more client relationships
Assist in the preparation and review of financial statements, including but not limited to, Balance Sheet, Statement of Investments, Statement of Operations, Statement of Cash Flows, and Notes to Financial Statements
Prepare general ledger and work paper files for accuracy and completeness, including capital activity, investment activity, income, and expense accruals, etc
Prepare Partner Capital reports including Partner P&L
Prepare and calculate monthly interest accruals, management fees and capital allocations
Calculate capital call and distribution notices, sources/uses of cash, and investor notices
Reconcile cash balances daily for multiple accounts
Calculate quarter end final and estimated NAVs
Support the year-end audit process, in collaboration with the team, client, and auditors
Basic Qualifications:
Bachelor's degree in Accounting or equivalent field is required
1+ year of private equity fund accounting experience
Preferred/Desired Qualifications:
CPA or parts passed towards completion
Master's degree in Accounting or equivalent field
Experience using Yardi and/or MRI
EisnerAmper is proud to be a merit-based employer. We do not discriminate on the basis of veteran or disability status orany protected characteristics under federal, state, or local law.
About our EA RESIG Team:
For more than 20 years, the EA RESIG team has focused on working with medium- to large-sized funds across every asset class in the real estate world. It's by fully immersing ourselves in this one area that we're able to both create opportunities for our employees to thrive in the industry and provide the most innovative advisory solutions to our clients.
We pride ourselves in fostering an environment based on both continuing education and enabling employees to take on new responsibilities and become business leaders. By keeping these elements at the forefront of our work each day, EA RESIG employees are empowered to grow as professionals and advance in their careers.
As the second-largest real estate private fund administrator, we offer a full suite of financial products to our clients, from general accounting and tax planning to outsourced services and investor relations. Between our scope of services and culture of always learning, EA RESIG employees not only see the entire lifecycle of our clients but serve as strategic partners as they grow.
About EisnerAmper:
EisnerAmper is one of the largest accounting, tax, and business advisory firms, with approximately 450 partners and 4,500 employees across the world. We combine responsiveness with a long-range perspective; to help clients meet the pressing issues they face today and position them for success tomorrow.
Our clients are enterprises as diverse as sophisticated financial institutions and start-ups, global public firms, and middle-market companies, as well as high net worth individuals, family offices, not-for-profit organizations, and entrepreneurial ventures across a variety of industries. We are also engaged by the attorneys, financial professionals, bankers, and investors who serve these clients.
Should you need any accommodations to complete this application please email: .
#LI-LH1
#LI-Hybrid
Preferred Location:New York
For NYC and California, the expected salary range for this position is between
78000
and
90000
The range for the position in other geographies may vary based on market differences.The actual compensation will be determined based on experience and other factors permitted by law.
$67k-83k yearly est. 3d ago
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Staff Accountant
Gordon Management Company LLC 3.9
Staff accountant job in Albany, NY
Job DescriptionBenefits:
Employee discounts
Free food & snacks
Wellness resources
401(k) matching
Review and process vendor invoices and employee expense reports accurately and on time.
Code invoices to appropriate properties, departments, and GL accounts.
Book-Keeping and posting Journal entries.
Ensure proper approvals are obtained before payment processing.
Maintain accurate records of payments and vendor files.
Reconcile vendor statements and resolve billing discrepancies.
Credit card reconciliation.
Assist in month-end closing and provide AP-related reports.
Track W-9s, and certificates of insurance for vendors.
Communicate regularly with contractors, vendors, and utility companies.
Office Administrative Duties:
Answer phones, direct calls, and greet visitors.
Maintain organized digital and physical filing systems.
Order and manage office supplies and vendor services.
Help prepare internal reports and documentation for real estate projects.
Perform other administrative tasks as assigned by management.
Qualifications:
Associates degree in Accounting, Business Administration, or related field (Bachelors preferred).
5+ years of experience in accounts payable or administrative roles.
Familiarity with property management software (e.g., Yardi, AppFolio, QuickBooks) is preferred.
Having real estate experience is added advantage.
Proficiency in Microsoft Office (Word, Excel, Outlook).
Strong attention to detail, time management, and organizational skills.
Ability to handle sensitive and confidential information.
Excellent communication and interpersonal skills.
Working Conditions:
Office-based environment with regular interaction with vendors, tenants, and property managers.
Multi entity accounting, has lot of potential to grow.
$59k-76k yearly est. 26d ago
Senior Bookkeeper
Actalent
Staff accountant job in Colonie, NY
Accounts Payable & Procurement: Oversee the procure-to-pay cycle in NetSuite, including entering and managing vendor bills, performing accurate three-way matching of purchase orders, receipts, and invoices, and scheduling vendor payments according to terms. Enforce purchasing controls such as the use of purchase requisitions and approvals for expenditures, ensure POs are issued only to approved suppliers, and give special attention to purchases of regulated materials (e.g. controlled substances) to ensure all compliance requirements are met. Coordinate with vendors and internal departments to resolve billing or payment issues promptly, and utilize electronic payment methods (ACH/wires) as appropriate for efficient disbursements. Accounts Receivable & Billing: Manage the order-to-cash process from invoicing through collections. Generate and send customer invoices in NetSuite immediately upon product shipment, ensuring that products have passed all required quality inspections before billing. Record and apply incoming customer payments (checks, ACH, credit card, etc.), and reconcile any payment discrepancies. Continuously monitor accounts receivable aging and follow up on overdue invoices by sending reminders or statements, helping to maintain healthy cash flow. Work closely with the sales and customer service teams to address any billing questions or credit issues, and enforce credit terms or holds as needed to manage risk. General Ledger & Reconciliation: Maintain the general ledger and ensure all financial transactions are accurately recorded in NetSuite. Uphold an organized Chart of Accounts that meets reporting needs and supports clear tracking of financial activities. Reconcile sub-ledgers for AR, AP, inventory, and other modules to the GL on a regular (monthly) basis to confirm that all subsidiary records tie to the financial statements. Perform bank reconciliations for all company bank accounts, investigating and resolving any discrepancies between bank statements and NetSuite records in a timely manner. Ensure that transactions flow appropriately from all modules to the GL (minimizing manual journal entries by capturing data upstream), and maintain supporting schedules for key balance sheet accounts (prepaids, accruals, fixed assets, inventory, etc.) as needed. Inventory Management & Cost Accounting: Work with the operations and supply chain teams to ensure inventory transactions are properly reflected in the financial system. Monitor inventory-related entries such as receipts, adjustments, and usage so that inventory values in NetSuite remain accurate. Assist in reconciling physical inventory counts with system balances and investigate any variances. Calculate and record manufacturing cost variances or inventory adjustments (e.g. scrap, yield loss) in the GL each period, ensuring that cost of goods sold is correctly recognized when products are sold and that inventory is valued in accordance with GAAP. Support the procurement and production departments by providing financial insights into inventory levels, valuation, and turnover, and ensure that any inventory write-offs or adjustments are properly documented and approved. Compliance & Audit: Ensure that all financial processes and record-keeping adhere to company policies, GAAP, and relevant pharmaceutical industry regulations. This includes maintaining proper documentation and audit trails for all transactions, and implementing internal controls such as segregation of duties and approval workflows to safeguard assets (for example, dual approvals for high-value transactions or journal entries). Verify that financial operations support compliance requirements specific to a 503B pharmaceutical manufacturing environment - for instance, confirming that shipments and invoices are only processed for licensed facilities and that purchases of controlled substances follow DEA guidelines and are appropriately documented. Prepare for and support any audits or inspections (internal, external, or regulatory): provide auditors with requested financial reports, supporting schedules, and evidence of controls (such as system approval logs or reconciliations) to demonstrate a compliant and well-controlled finance operation. Proactively address any audit findings and strengthen processes to meet FDA and DEA record-keeping standards as well as standard financial audits. Month-End Close & Reporting: Manage the month-end and year-end close process, ensuring all tasks are completed accurately and on schedule. This includes posting necessary adjusting journal entries (accruals, deferrals, depreciation, etc.), reconciling all balance sheet accounts, and reviewing the trial balance for any anomalies or errors that need correction. Use a checklist to track close activities and coordinate with team members (and other departments) to obtain any needed information for close. Prepare timely financial statements - Income Statement, Balance Sheet, and Cash Flow - directly from NetSuite and perform initial reviews for accuracy. Investigate and explain significant period-over-period variances in financial results to assist management with understanding the company's financial performance. Ensure that revenue is recognized in line with applicable accounting standards and that inventory is properly accounted for as an asset until sold (in compliance with GAAP). Provide financial reports and analysis to management as required, and participate in financial review meetings to present the data. Cross-Functional Collaboration & Process Improvement: Collaborate closely with cross-functional teams - including procurement, inventory/warehouse, production, and quality assurance - to ensure financial data and processes are aligned with operational workflows. For example, work with the Quality Assurance department to implement controls such as holding vendor invoice payments until materials have passed QA inspection and are approved for use. Assist the supply chain team in establishing efficient procurement and inventory management practices by leveraging NetSuite capabilities (like automated approval routing or real-time inventory tracking). Continuously evaluate the efficiency of our NetSuite financial workflows and identify opportunities for improvement or further automation. This could include implementing accounts payable automation tools (OCR invoice scanning, electronic approvals), optimizing the usage of NetSuite reports/analytics for better AP/AR metrics tracking, or refining our financial policies to better suit the pharma manufacturing context. Provide recommendations to management for system or process enhancements and help test/implement new NetSuite features or updates. Additionally, offer training or guidance to junior finance staff or other NetSuite users in the company to ensure consistent and correct use of the system.
Skills
netsuite, Accounts payable, Accounts receivable, Finance, ledger, reconciliation, Bookkeeping, compliance, audit, Accounting, gaap
Top Skills Details
netsuite,Accounts payable,Accounts receivable,Finance,ledger,reconciliation,Bookkeeping
Additional Skills & Qualifications
Bachelor's degree in Accounting, Finance, or a related field (or equivalent experience). Minimum 5 years of hands-on experience with NetSuite ERP in an accounting or bookkeeping capacity is required, with a strong track record of managing day-to-day financial transactions through NetSuite. Solid understanding of Generally Accepted Accounting Principles (GAAP) and core accounting functions. Proven experience handling accounts payable, accounts receivable, general ledger, and bank reconciliations is essential. Ability to prepare financial statements and support month-end close processes. NetSuite Skills: Proficiency in NetSuite's financial modules and workflows, including transactions entry, reporting, and basic administration. Able to navigate and utilize NetSuite for AP/AR processing, journal entries, bank reconciliation, and running financial reports. Experience with NetSuite's inventory and purchasing modules (item receipts, inventory adjustments, purchase orders) and how they integrate with the GL is highly valuable.
Experience Level
Expert Level
Job Type & Location
This is a Contract to Hire position based out of Colonie, NY.
Pay and Benefits
The pay range for this position is $35.00 - $50.00/hr.
Eligibility requirements apply to some benefits and may depend on your job classification and length of employment. Benefits are subject to change and may be subject to specific elections, plan, or program terms. If eligible, the benefits available for this temporary role may include the following: • Medical, dental & vision • Critical Illness, Accident, and Hospital • 401(k) Retirement Plan - Pre-tax and Roth post-tax contributions available • Life Insurance (Voluntary Life & AD&D for the employee and dependents) • Short and long-term disability • Health Spending Account (HSA) • Transportation benefits • Employee Assistance Program • Time Off/Leave (PTO, Vacation or Sick Leave)
Workplace Type
This is a fully onsite position in Colonie,NY.
Application Deadline
This position is anticipated to close on Jan 21, 2026.
About Actalent
Actalent is a global leader in engineering and sciences services and talent solutions. We help visionary companies advance their engineering and science initiatives through access to specialized experts who drive scale, innovation and speed to market. With a network of almost 30,000 consultants and more than 4,500 clients across the U.S., Canada, Asia and Europe, Actalent serves many of the Fortune 500.
The company is an equal opportunity employer and will consider all applications without regard to race, sex, age, color, religion, national origin, veteran status, disability, sexual orientation, gender identity, genetic information or any characteristic protected by law.
If you would like to request a reasonable accommodation, such as the modification or adjustment of the job application process or interviewing due to a disability, please email actalentaccommodation@actalentservices.com for other accommodation options.
$35-50 hourly 15d ago
Bookkeeper
Aim Services, Incorporated 4.0
Staff accountant job in Saratoga Springs, NY
We are seeking a detail-oriented and proactive Bookkeeper to join our Finance team. The ideal candidate will be responsible for managing Accounts Payable and Accounts Receivable functions, ensuring accuracy in billing, and supporting program financial operations. This role requires strong organizational skills, a solid understanding of accounting principles, and the ability to collaborate effectively across departments. Experience in nonprofit or program-based financial management is preferred.
Purpose:
As a valued member of the Finance Team, you will work collaboratively toward our shared commitment to putting people first. In this role, you will support the management of all funds and expenditures that help sustain services provided by AIM. You will help ensure that financial records are accurate, transparent, and up to date, supporting timely reporting and review. Through your work, you will contribute directly to AIM's mission of promoting accountability and supporting meaningful, person-centered services.
Essential Functions:
* Review, coordinate, and process Accounts Payable transactions to ensure accuracy and compliance with company policies and program guidelines.
* Ensure vendor billing and payments are completed accurately and timely.
* Maintain, reconcile, and review Accounts Receivable to support accurate financial reporting.
* Assist with fiscal oversight of program billing, ensuring accuracy and adherence to payer and program guidelines.
* Function as the financial liaison for assigned programs, working closely with program managers and other departments to ensure financial accuracy and compliance.
Requirements
Qualifications
* Associates degree or equivalent experience required, Bachelor's degree in accounting preferred.
* Demonstrated knowledge of accounting procedures and systems.
* Effective time management and math skills.
* Strong organizational skills with a keen ability to prioritize and multi-task. Detail oriented.
* Edits work for spelling and grammar, presents numerical data effectively, and can read and interpret written information.
* Demonstrates accuracy and thoroughness and monitors own work to ensure quality.
* Proficiency in Microsoft Word and Excel.
* Adherence to Agency policies including Attendance Policy.
* Valid NYS Drivers' License, acceptable to Agency insurance standards preferred. Maintain valid insurance and provide insurance card if you use your own vehicle.
Physical/Cognitive Requirements:
* Ability to maintain a high level of professionalism and confidentiality.
* Ability to remain calm in stressful or demanding situations.
* Sitting and/or computer use/writing for extended periods of time.
* Ability to perform multiple tasks.
* Bending, reaching, pushing, and pulling as needed in the workplace.
Responsible To: CFO, Director of Finance and Controller/designee
Salary Description
$22-$25 / hour
$22-25 hourly 60d+ ago
SEC Staff Accountant
Lindblad Expeditions 4.6
Staff accountant job in Day, NY
WHO WE ARELindblad Expeditions is a pioneer in the Expedition Travel space, with a legacy of exploration and discovery spanning decades. From taking the first citizen explorers to Antarctica in 1966, to opening the Galápagos and Easter Island to tourism, to launching our innovative partnership with National Geographic in 2004, our mission has always been to connect travelers with the world's most extraordinary places.
Today, our fleet of 16 ships takes nearly 25,000 guests annually to some of the planet's most remote and pristine locations. At Lindblad Expeditions, we do whatever it takes to ensure our guests experience the “Exhilaration of Discovery.”
POSITION SUMMARYAs a member of the Accounting Department, the SEC StaffAccountant will play a critical role within the Finance organization, owning and assisting in various core operational accounting activities. This role is responsible for ensuring the accuracy and integrity of the Company's various SEC filings and submissions and driving continuous improvement. The ideal candidate is a driven, detail-oriented individual who thrives in a fast-paced environment, takes ownership of their work, and is passionate about continuous improvement. The SEC StaffAccountant will not only execute core accounting responsibilities with precision but will also bring curiosity, initiative, and a solutions-oriented mindset to help streamline processes and raise the bar for operational excellence.KEY RESPONSIBILITIES
Assist with the timely and accurate SEC filings and submissions, including, but not limited to, Forms 8-K, 10-Q, 10-K and proxy.
Assist with preparation of SEC filings by providing accurate and timely schedules, analyses, and reports, including support schedules for footnote disclosures, Management's Discussion & Analysis and tie-out of financial statements.
Ensure that reports, filings and documentation comply with Company's regulations, professional standards, and SEC and GAAP reporting guidelines.
Review required extensible Business Reporting Language (XBRL) tagging in connection with filings.
Assist in the evaluation of significant and complex accounting transactions, research and implementation of relevant accounting technical standards, and preparation of technical accounting memos supporting all accounting positions.
Assist with preparation and updates of accounting policies and procedures as necessary.
Operate key controls and maintain documentation to ensure ongoing SOX compliance across assigned areas and help identify and implement process improvements to enhance efficiency, accuracy, and internal controls.
Prepare data and other supporting information requests as needed for internal and external audits.
Partner cross-functionally with FP&A, Operations, and other departments to ensure timely and accurate financial reporting.
Own assigned accounting areas, ensuring accuracy and completeness in accordance with GAAP.
Assist in the monthly, quarterly, and year-end close processes, meeting all deadlines with high-quality results.
Support the implementation of new accounting systems, tools, or process enhancements.
Participate in special projects and ad-hoc analyses as the business evolves.
QUALIFICATIONS
Bachelor's degree in accounting.
2-4 years of progressive accounting experience (public accounting and/or corporate accounting preferred).
CPA and public company experience preferred.
Strong understanding of U.S. GAAP and general accounting principles.
Excellent attention to detail, organizational, and analytical skills.
Proven ability to meet deadlines and manage multiple priorities in a dynamic environment.
Advanced proficiency in Excel.
Strong communication and interpersonal skills with a collaborative approach.
Self-starter with a growth mindset-someone who takes initiative, owns their work, and constantly seeks ways to improve processes and outcomes.
Must be available to work onsite at least 3 days per week in our New York City-area office.
DISCLAIMER STATEMENT:This job description is intended only to describe the general nature and level of work being performed by an employee in this position. It is not intended to be construed as an exhaustive list of all responsibilities, duties, and skills or abilities required or persons so classified or assigned.
$59k-74k yearly est. Auto-Apply 36d ago
Accountant
Albany Medical Health System 4.4
Staff accountant job in Albany, NY
Department/Unit: Budget & Planning Work Shift: Day (United States of America) Salary Range: $55,895.80 - $83,843.71 Basic Functions * To assist in the day-to-day function of the Patient Receivable Control & Managed Care Reporting Department. Qualifications * BS or BBA in Accounting/Business with 1+ years of experience - Healthcare preferred.
* Must be capable of adapting quickly and effectively to change. Strong organizational skills and the ability to meet deadlines are required.
* Knowledge of Microsoft Office applications, specifically Excel
Specific Responsibilities
* Assist the Administrative Support Associates with the daily cash processing, maintaining the cash files, and other related receivable control tasks.
* Prepare journal entries associated with the cash flow of patient reimbursements, accommodation transfers, and other program transfers that are required.
* Perform monthly reconciliations of assigned general ledger accounts relating to patient accounts receivable.
* Assist in duties related to monthly closing activities including, but not limited to, testing of the estimated allowances of unbilled inpatient accounts, inpatient and outpatient revenue review, assist with the compilation of month end revenue reports, and other task related to valuing and reporting inpatient and outpatient revenue.
* Perform other duties as required.
Relationships
* Interact with Billing Directors, Managers and Supervisors.
* Interact with Financial Reporting and Accounts Payable staff.
Basic Functions
* To assist in the day-to-day function of the Patient Receivable Control & Managed Care Reporting Department.
Qualifications
* BS or BBA in Accounting/Business with 1+ years of experience - Healthcare preferred.
* Must be capable of adapting quickly and effectively to change. Strong organizational skills and the ability to meet deadlines are required.
* Knowledge of Microsoft Office applications, specifically Excel
Specific Responsibilities
* Assist the Administrative Support Associates with the daily cash processing, maintaining the cash files, and other related receivable control tasks.
* Prepare journal entries associated with the cash flow of patient reimbursements, accommodation transfers, and other program transfers that are required.
* Perform monthly reconciliations of assigned general ledger accounts relating to patient accounts receivable.
* Assist in duties related to monthly closing activities including, but not limited to, testing of the estimated allowances of unbilled inpatient accounts, inpatient and outpatient revenue review, assist with the compilation of month end revenue reports, and other task related to valuing and reporting inpatient and outpatient revenue.
* Perform other duties as required.
Relationships
* Interact with Billing Directors, Managers and Supervisors.
* Interact with Financial Reporting and Accounts Payable staff.
Thank you for your interest in Albany Medical Center!
Albany Medical is an equal opportunity employer.
This role may require access to information considered sensitive to Albany Medical Center, its patients, affiliates, and partners, including but not limited to HIPAA Protected Health Information and other information regulated by Federal and New York State statutes. Workforce members are expected to ensure that:
Access to information is based on a "need to know" and is the minimum necessary to properly perform assigned duties. Use or disclosure shall not exceed the minimum amount of information needed to accomplish an intended purpose. Reasonable efforts, consistent with Albany Med Center policies and standards, shall be made to ensure that information is adequately protected from unauthorized access and modification.
$55.9k-83.8k yearly Auto-Apply 9d ago
Assistant Controller
Shinda Management Corporation
Staff accountant job in Queensbury, NY
We are seeking a detail-oriented and highly motivated Assistant Controller to join our finance team. The Assistant Controller will play a crucial role in supporting the CFO in managing and overseeing the daily accounting operations, financial reporting, and ensuring compliance with
accounting principles. This role is ideal for someone looking to take the next step in their
accounting career and be part of a dynamic team in a growing organization.
Key Responsibilities:
• Financial Reporting:
o Assist in the preparation and analysis of monthly, quarterly, and annual financial
statements.
o Ensure accurate and timely financial reporting to senior management.
o Support the controller and CFO in preparing and reviewing financial reports for
internal and external stakeholders.
• Accounting Operations:
o Assist with oversight of day-to-day accounting functions including accounts
payable, accounts receivable, general ledger, and payroll.
o Assist in reconciling bank accounts and general ledger accounts on a monthly
basis.
o Help maintain the accuracy and integrity of the accounting system and records.
• Month-End and Year-End Close:
o Assist in the preparation and coordination of the month-end and year-end closing
process.
o Ensure all financial transactions are properly recorded and accounted for during
the closing periods.
o Provide support during the annual audit and ensure compliance with internal
controls.
• Budgeting and Forecasting Support:
o Help prepare budgets and forecasts by working closely with various departments
to gather relevant financial data.
o Assist in comparing actual financial results with budgeted figures and provide
variance analysis to management.
• Compliance and Internal Controls:
o Ensure adherence to internal controls and compliance with applicable accounting
standards and regulations.
o Assist with the implementation and improvement of accounting policies and
procedures.
o Support the controller and CFO in maintaining an efficient system of financial
controls to prevent errors or fraud.
• Tax Support:
o Assist with tax filings, including review of tax returns.
o Ensure that the company is compliant with all tax regulations.
• Team Collaboration and Supervision:
o Supervise and mentor junior accountingstaff, providing training and support as
needed.
o Work collaboratively with other departments to ensure smooth financial
operations and processes.
o Assisting in Special Proj
$85k-136k yearly est. 54d ago
Accountant
Dormitory Authority of New York 3.9
Staff accountant job in Albany, NY
Accountant Grade/Classification: 2 (D1) - Para/Entry Level Professional Salary Range: $50,039 - $66,665 Bargaining Unit: CSEA FLSA Status: Non-Exempt Last Revised: September 25, 2025 Primary Purpose Under general supervision, the Accountant performs professional accounting tasks, including the preparation, review, processing, analysis and/or supervision of financial account records relating to accounts receivable, investments, and other financial activities.
Essential Functions
* Verify, analyze, record and reconcile data from various sources (bank statements, client agreements, bond documents, etc.) to the financial management system, investment management system, debt management system and various other PC applications/databases.
* Perform or assist with complex financial calculations and moderately difficult financial analysis as
* Create and/or maintain various schedules, reports, spreadsheets, databases and/or files.
* Perform and/or oversee the recording and reconciliation of financial data from various sources to various internal systems/applications including data transfer between systems.
* Draft journal, budget, receipt and receivable entries.
* Prepare invoices for various fees, debt service, rents and project funds.
* Monitor and report on various financial data, such as account balances, disbursements, receipts/receivables, debt/debt service, investments and credit enhancement.
* Assist with the development and maintenance of financial management systems including set-up and maintenance of records, data integrity review, interfaces, periodic processes and troubleshooting.
* Import and/or export data among internal and external applications.
* Coordinate with appropriate DASNY units in the set-up, monitoring and reporting of construction, health care and operating projects.
* Prepare or review financial statements and reports for internal and external parties.
* Work directly with employees, clients and trustees to research and resolve conflicts/problems/issues.
* Assist with tasks related to the annual audit, such as the preparation and review of year-end financial statements, performing special calculations and drafting year-end journal entries.
* Assist in ensuring the accuracy of information received, entered into and extracted from various systems applications.
* Create reports using the financial management system, Clearwater, or other systems applications.,
* Assist in ensuring compliance with Federal and State laws, financial standards/practices, and DASNY policies and procedures.
Other Duties and Responsibilities
* May train and evaluate
* Assist with the documentation and implementation of procedures
* Assist with internal controls implementation, review, and testing
* Undertake special assignments as directed
* Must maintain regular attendance in accordance with DASNY attendance and leave policies
* Must adhere to the NYS Information Security Policy Standards established and issued by the Office of Information Technology (Standards can be found on the Intranet)
Supervision
Supervision of employees may be required.
Physical/Mental/Visual Demands
Occasional travel may be required using public transportation, DASNY vehicle, rental vehicle or personal vehicle. This travel may include overnight stays at public accommodations and related establishments. Requires complex and time-pressured decision-making. Overtime or extended work hours may be required.
Work Environment
Standard office environment including the use of one or more of the following: PC, telephone, fax machine, printer, copier, scanner, electronic stapler, three-hole punch, date stamp, shredder.
Minimum Qualifications
Bachelor's degree; or an Associates degree plus three years relevant work experience; or a High School diploma or equivalent plus four years of relevant DASNY accounting experience with a basic knowledge of debits/credits.
Preferred Qualifications
Bachelor's degree in Accounting, Finance, Business Administration, or a related field plus one-year of professional accounting experience with the application of basic accounting principles and financial statement preparation.
Essential Skills
* Basic knowledge of accounting principles
* Excellent mathematical skills
* Demonstrated analytical and conceptual skills
* Proficiency in PC applications such as Outlook, Excel, Word and Access
* Excellent oral and written communication skills
* Demonstrated organizational skills and ability to prioritize
* Demonstrated ability to work independently and exercise sound judgement
* Demonstrated accuracy and attention to detail
Benefits information:
DASNY provides financing and construction services to public and private universities, not-for-profit healthcare facilities, and other institutions which serve the public good.
We offer a comprehensive benefits plan, which includes:
* Choice of several health insurance plans
* Dental & vision insurance
* Membership in the NYS Retirement System
* Deferred Compensation Investment Plan
* 13 vacation days per year
* 13 sick days per year
* 5 days of personal leave per year
* 12 paid holidays per year (plus one float day)
* Tuition reimbursement
* Training & development opportunities
We offer additional benefits, which include:
* Limited Work from Home (LWFH) - additional telecommute days according to DASNY's Telecommuting Program Guidelines. Eligibility applies after 6 months of employment.
* DASNY is a government employer for purposes of the Public Services Loan Forgiveness Program (PSLF Program). The PSLF Program forgives the remaining balance of certain student loans after making 120 qualifying monthly payments. For more information regarding PSLF Program and whether you qualify please visit the Studentaid.gov website.
$50k-66.7k yearly 60d+ ago
Lead Financial Accounting Analyst
Gehc
Staff accountant job in Niskayuna, NY
SummaryThis role will provide strategic oversight of financial accounting and project cost management for HTIC. This role leads the development of accurate, timely financial reporting and ensures compliance with government funding requirements and organizational standards, drives efficient invoicing and receivables processes, while partnering with technical leaders to deliver financial insights and cost modeling that support informed decision-making throughout the project lifecycle. This role serves as a key advisor on financial project management, fostering accountability and operational excellence across the organization.Job Description
Roles and Responsibilities
Responsible for general accounting and policy application & process administration for all cycles including cash, project revenue recognition & receivables/payables & intercompany. Understand and interpret applicable Enterprise Standards, SOP and Process Maps to deliver Controllership activities
Analyzing & processing financial organization data & project-level data and preparing monthly & quarterly accounting reports
Managing project cost activities related to government proposals and active government awards, as required by funding agencies
Managing invoice to receivables process for HTIC's project portfolio, ensuring timely collection of outstanding receivables, and preparing accurate financial reports in compliance with internal & external customer requirements
Providing financial support to HTIC's technical community throughout the project lifecycle using financial cost modeling techniques
Utilizes in-depth knowledge of a discipline and analytical thinking to execute policy/strategy. Basic knowledge of related job disciplines.
Acts as a resource for colleagues with less experience. May lead small projects with low risks and resource requirements. Explains information; developing skills to bring team members to consensus around topics within field. Conveys performance expectations and may handle sensitive issues.
Jobs at this level function with some autonomy but are subject to functional practices and precedents or are covered by well-defined policies or review of end results. The job allows modification of procedures and practices covering work as long as the end results meet standards of acceptability (quality, volume, timeliness etc.).
Uses some judgment and has the ability to propose different solutions outside of set parameters to address more complicated, day-to-day problems. Has ability to prioritize information for data analysis. Uses technical experience and analytical thinking. Uses multiple internal and limited external sources outside of own team to arrive at decisions.
Required Qualifications
Bachelor's degree from an accredited university or college and at least 2 years of relevant experience; OR a high school diploma/GED and at least 4 years of experience in the relevant job family or function.
Desired Characteristics
Variance & Ad‑Hoc Analysis: Deep‑dive into variances, ad-hoc financial queries to identify risks/opportunities
ERP / Reporting Systems: Proficiency with Oracle for financial processing and reporting
Excel & Advanced Analytical Tools: Advanced Excel use (pivot tables, macros), familiarity with Power BI for visualization
Strong Oral & Communication skills: Clear presentation of analysis and findings to cross-functional teams and project teams
Analytical & Critical Thinking: Strong ability to interpret financial data, recognize trends, evaluate/resolve issues, and identify causes
Problem Solving & Decision Making: Proactive, effective resolution of financial issues while balancing risks and rewards
Process Improvement & Strategic Thinking: Identifying and implementing financial & operations process enhancements, system integration, and strategic initiatives
We will not sponsor individuals for employment visas, now or in the future, for this job opening. For U.S. based positions only, the pay range for this position is $105,600.00-$158,400.00 Annual. It is not typical for an individual to be hired at or near the top of the pay range and compensation decisions are dependent on the facts and circumstances of each case. The specific compensation offered to a candidate may be influenced by a variety of factors including skills, qualifications, experience and location. In addition, this position may also be eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). GE HealthCare offers a competitive benefits package, including not but limited to medical, dental, vision, paid time off, a 401(k) plan with employee and company contribution opportunities, life, disability, and accident insurance, and tuition reimbursement.Additional Information
GE HealthCare offers a great work environment, professional development, challenging careers, and competitive compensation. GE HealthCare 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 HealthCare 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).
While GE HealthCare does not currently require U.S. employees to be vaccinated against COVID-19, some GE HealthCare customers have vaccination mandates that may apply to certain GE HealthCare employees.
Relocation Assistance Provided: No
$105.6k-158.4k yearly Auto-Apply 8d ago
Lead Financial Accounting Analyst
GE Healthcare Technologies Inc. 4.2
Staff accountant job in Niskayuna, NY
This role will provide strategic oversight of financial accounting and project cost management for HTIC. This role leads the development of accurate, timely financial reporting and ensures compliance with government funding requirements and organizational standards, drives efficient invoicing and receivables processes, while partnering with technical leaders to deliver financial insights and cost modeling that support informed decision-making throughout the project lifecycle. This role serves as a key advisor on financial project management, fostering accountability and operational excellence across the organization.
Job Description
Roles and Responsibilities
* Responsible for general accounting and policy application & process administration for all cycles including cash, project revenue recognition & receivables/payables & intercompany. Understand and interpret applicable Enterprise Standards, SOP and Process Maps to deliver Controllership activities
* Analyzing & processing financial organization data & project-level data and preparing monthly & quarterly accounting reports
* Managing project cost activities related to government proposals and active government awards, as required by funding agencies
* Managing invoice to receivables process for HTIC's project portfolio, ensuring timely collection of outstanding receivables, and preparing accurate financial reports in compliance with internal & external customer requirements
* Providing financial support to HTIC's technical community throughout the project lifecycle using financial cost modeling techniques
* Utilizes in-depth knowledge of a discipline and analytical thinking to execute policy/strategy. Basic knowledge of related job disciplines.
* Acts as a resource for colleagues with less experience. May lead small projects with low risks and resource requirements. Explains information; developing skills to bring team members to consensus around topics within field. Conveys performance expectations and may handle sensitive issues.
* Jobs at this level function with some autonomy but are subject to functional practices and precedents or are covered by well-defined policies or review of end results. The job allows modification of procedures and practices covering work as long as the end results meet standards of acceptability (quality, volume, timeliness etc.).
* Uses some judgment and has the ability to propose different solutions outside of set parameters to address more complicated, day-to-day problems. Has ability to prioritize information for data analysis. Uses technical experience and analytical thinking. Uses multiple internal and limited external sources outside of own team to arrive at decisions.
Required Qualifications
* Bachelor's degree from an accredited university or college and at least 2 years of relevant experience; OR a high school diploma/GED and at least 4 years of experience in the relevant job family or function.
Desired Characteristics
* Variance & Ad‑Hoc Analysis: Deep‑dive into variances, ad-hoc financial queries to identify risks/opportunities
* ERP / Reporting Systems: Proficiency with Oracle for financial processing and reporting
* Excel & Advanced Analytical Tools: Advanced Excel use (pivot tables, macros), familiarity with Power BI for visualization
* Strong Oral & Communication skills: Clear presentation of analysis and findings to cross-functional teams and project teams
* Analytical & Critical Thinking: Strong ability to interpret financial data, recognize trends, evaluate/resolve issues, and identify causes
* Problem Solving & Decision Making: Proactive, effective resolution of financial issues while balancing risks and rewards
* Process Improvement & Strategic Thinking: Identifying and implementing financial & operations process enhancements, system integration, and strategic initiatives
We will not sponsor individuals for employment visas, now or in the future, for this job opening. For U.S. based positions only, the pay range for this position is $105,600.00-$158,400.00 Annual. It is not typical for an individual to be hired at or near the top of the pay range and compensation decisions are dependent on the facts and circumstances of each case. The specific compensation offered to a candidate may be influenced by a variety of factors including skills, qualifications, experience and location. In addition, this position may also be eligible to earn performance based incentive compensation, which may include cash bonus(es) and/or long term incentives (LTI). GE HealthCare offers a competitive benefits package, including not but limited to medical, dental, vision, paid time off, a 401(k) plan with employee and company contribution opportunities, life, disability, and accident insurance, and tuition reimbursement.
Additional Information
GE HealthCare offers a great work environment, professional development, challenging careers, and competitive compensation. GE HealthCare 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 HealthCare 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).
While GE HealthCare does not currently require U.S. employees to be vaccinated against COVID-19, some GE HealthCare customers have vaccination mandates that may apply to certain GE HealthCare employees.
Relocation Assistance Provided: No
$105.6k-158.4k yearly 7d ago
Lia Auto Group - Bookkeeper
The Lia Group 4.5
Staff accountant job in Albany, NY
Job Description
Lia Auto Group is seeking a Bookkeeper(s) to join our team.
COMPENSATION RANGE: $24-$30/hour based on experience
SIGN ON BONUS: N/A
REQUIREMENTS:
Knowledge of dealership procedures
Willingness to take initiative
Computer literacy
Ability to perform job responsibilities and meet deadlines easily
Professional personal appearance & excellent communication skills
Excellent verbal/written communication, strong negotiation and presentation skills
Must have clean & valid driver's license
KEY RESPONSIBILITIES:
Break down and post sold deals to accounting
Submit and track rebates
Cut checks to vendors, customers and banks
Calculate and submit commissions for weekly payroll
Post and reconcile weekly parts statement
Manage FP account and reconcile at month end
Track and report funding delays
Process daily bank deposit
Process monthly warranty remittance
Assist Office Manager with month end tasks
Support dealership staff to ensure accuracy in accounting
Any other duties assigned by the manager
BENEFITS:
Medical, Dental and Vision
401K Plan with Employer Match
Paid Time Off
Paid Weekly
An employer funded Life Insurance Plan
Discounts on services and parts
Employee vehicle purchase plans
Company provided uniforms
ABOUT US:
The Lia Auto Group is one of the top 100 automotive groups in the country, established in 1977 by Bill Lia Sr. The group consists of 21 dealerships throughout New York, Connecticut, and Massachusetts, offering a variety of manufacturers including Honda, Toyota, Hyundai, Nissan, Infiniti, Volkswagen, and Chrysler Jeep Dodge Ram (CJDR). Lia also provides rental and full-body repair services at the Lia Collision Center in Colonie, NY.
The Lia Group Companies has since grown to include Vent Fitness, Lia Insurance Agency, BurgerFi, and various commercial properties including Hamilton Square shopping center in Guilderland, NY. Our team of over 1,500 dedicated staff members have delivered quality products and exceptional consumer experiences for over 40 years.
With a long history of success and continuous expansion, the Lia Auto Group provides ample opportunity for development and growth to current and future employees. We offer competitive wages, generous benefits, and a rewarding, safety-conscious work environment. We seek those who can help us take our growth and service to the next level.
COMMUNITY:
We are heavily involved in supporting the communities we live in and work in and look for people to join us in volunteerism and fundraising efforts for many local charities and non-profit organizations.
$24-30 hourly 22d ago
Audit Staff Accountant
Dannible & McKee LLP 3.4
Staff accountant job in Schenectady, NY
Full-time Description
Audit StaffAccountant
Dannible & McKee, LLP is accepting resumes for an audit staffaccountant. As a member of the audit team, you will assist in completing audits, reviews and compilations with a primary focus on providing superior service to our clients. Our goal is to provide you with the resources to grow, expand and develop as an audit professional.
Job Responsibilities:
Develops and expand technical knowledge while working under the supervision of experienced professionals.
Assists engagement team on audits, reviews and compilations in all areas of the financial statements.
Completes special projects in service areas such as forensic accounting, valuations and employee benefit plans.
Requirements
Minimum Requirements:
Bachelor's degree in Accounting with 150 credit hours needed to qualify for the CPA exam
CPA or pursuing the certification (NYS CPA eligible)
Strong communication skills, both written and verbal
Motivated for continued professional and individual growth
Dannible & McKee, LLP is an equal opportunity employer. Come work at one of Central New York's Best Places to Work of 2024.
Salary Description $60,000 - $65,000
$60k-65k yearly 60d+ ago
Bookkeeper - Part Time
Molari Employment and Healthcare Services
Staff accountant job in Pittsfield, MA
Part-Time Bookkeeper
Schedule: Approximately 6 hours every two weeks | Flexible days and hours Pay Rate: $25-$28 per hour, depending on experience
A professional firm in downtown Pittsfield is seeking a Part-Time Bookkeeper to support bookkeeping functions for multiple related entities. This role requires on-site work and is ideal for an experienced, self-directed bookkeeper seeking a consistent, low-hour schedule.
Key Responsibilities
Maintain accurate financial records for multiple entities
Process accounts payable and accounts receivable
Perform bank and credit card reconciliations
Enter journal entries and maintain general ledger accuracy
Process invoices, payments, and expense tracking
Assist with month-end and year-end close activities
Prepare basic financial reports as requested
Maintain organized and confidential financial records
Coordinate with internal staff and external accountants as needed
Qualifications
2+ years of bookkeeping experience preferred
Working knowledge of general accounting principles
Experience managing multiple sets of books
Proficiency with bookkeeping software (QuickBooks or similar preferred)
Strong attention to detail and organizational skills
Ability to work independently and manage time effectively
Professional demeanor and discretion
Ability to work on-site in downtown Pittsfield
Equal Opportunity Employer Statement
We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, religion, sex, sexual orientation, gender identity or expression, national origin, age, disability, genetic information, veteran status, or any other protected characteristic under applicable law.
$25-28 hourly 7d ago
Senior Accountant
Saratoga Hospital 4.5
Staff accountant job in Saratoga Springs, NY
Senior Accountant Location: Saratoga Hospital, 59D Myrtle Street Park, Saratoga Springs, NY12866 Employment Type: Full Time Shift/Schedule: Day (8:00 AM - 4:00 PM) Department: Fiscal Services Salary Range: $52,591.50 - $92,508.00 annually#($26.97-$47.44 hourly)#based on experience and qualifications About Saratoga Hospital At Saratoga Hospital, we#ve built a reputation for high-quality, compassionate care and a commitment to the health and well-being of our community. As part of the Albany Med Health System, we combine advanced technology with a deeply personal approach#creating a supportive environment for patients, staff, and providers alike. We believe that exceptional care starts with exceptional people. About the Role We#re looking for a dedicated Senior Accountant#to join our team and help us continue delivering the level of care our patients and families deserve. In this role, you#ll be a vital part of our#team, ensuring excellent service, collaboration, and patient outcomes in a fast-paced healthcare environment. This position supports overall fiscal services department goals of providing timely and accurate financial information to internal and external users, and maintaining effective internal controls over financial processes. What You#ll Do Participates in specific portions of monthly and year-end financial closing process, including analysis of accounts for assigned cost centers, preparing general journal entries where corrections are needed to properly state period-end balances are required, and investigates budget variances identified in assigned cost centers. Prepares monthly reconciliations for main checking account and accounts payable. Performs analysis and prepares initial baseline budget recommendations during annual budget process. Updates fixed assets ledger for asset acquisitions and disposals and maintains reconciliations between the fixed assets ledger and general ledger. Performs financial analysis relative to areas of responsibility as needed. Prepares audit support documentation for assigned portions of annual financial statements. Develops baseline budget data for areas of responsibility. Continuously seek opportunities to improve processes and support patient and staff satisfaction. Serve as a positive, professional representative of our hospital and community. What You Bring Bachelors Degree in Accounting or Bachelors Degree in Administration with a major in Accounting required. At least two years directly related accounting experience is highly desirable. Healthcare industry experience preferred. Strong communication and teamwork skills. Commitment to providing patient-first, high-quality service.# Comfort working in a fast-paced, collaborative environment. Why Saratoga Hospital A caring, community-focused culture rooted in teamwork and trust. Supportive leadership that invests in your development and well-being. Comprehensive benefits, including medical, dental, retirement plans, tuition assistance, and wellness programs. Click here to view our complete benefits guide. Opportunities to grow within the Albany Med Health System. Located in beautiful Saratoga Springs, known for its vibrant community, outdoor recreation, and cultural attractions. Our Commitment We are an equal opportunity employer and strongly encourage individuals of all backgrounds and experiences to apply. If you#re passionate about healthcare and community service#even if you don#t meet every qualification listed#we#d still love to hear from you. How to Apply Click the #apply# button to submit your resume and complete our online application. Applications are reviewed on a rolling basis#apply today and discover what makes Saratoga Hospital a special place to grow your career. #
Senior Accountant
Location: Saratoga Hospital, 59D Myrtle Street Park, Saratoga Springs, NY12866
Employment Type: Full Time
Shift/Schedule: Day (8:00 AM - 4:00 PM)
Department: Fiscal Services
Salary Range: $52,591.50 - $92,508.00 annually ($26.97-$47.44 hourly) based on experience and qualifications
About Saratoga Hospital
At Saratoga Hospital, we've built a reputation for high-quality, compassionate care and a commitment to the health and well-being of our community. As part of the Albany Med Health System, we combine advanced technology with a deeply personal approach-creating a supportive environment for patients, staff, and providers alike. We believe that exceptional care starts with exceptional people.
About the Role
We're looking for a dedicated Senior Accountant to join our team and help us continue delivering the level of care our patients and families deserve. In this role, you'll be a vital part of our team, ensuring excellent service, collaboration, and patient outcomes in a fast-paced healthcare environment. This position supports overall fiscal services department goals of providing timely and accurate financial information to internal and external users, and maintaining effective internal controls over financial processes.
What You'll Do
* Participates in specific portions of monthly and year-end financial closing process, including analysis of accounts for assigned cost centers, preparing general journal entries where corrections are needed to properly state period-end balances are required, and investigates budget variances identified in assigned cost centers.
* Prepares monthly reconciliations for main checking account and accounts payable.
* Performs analysis and prepares initial baseline budget recommendations during annual budget process.
* Updates fixed assets ledger for asset acquisitions and disposals and maintains reconciliations between the fixed assets ledger and general ledger.
* Performs financial analysis relative to areas of responsibility as needed.
* Prepares audit support documentation for assigned portions of annual financial statements.
* Develops baseline budget data for areas of responsibility.
* Continuously seek opportunities to improve processes and support patient and staff satisfaction.
* Serve as a positive, professional representative of our hospital and community.
What You Bring
* Bachelors Degree in Accounting or Bachelors Degree in Administration with a major in Accounting required.
* At least two years directly related accounting experience is highly desirable.
* Healthcare industry experience preferred.
* Strong communication and teamwork skills.
* Commitment to providing patient-first, high-quality service.
* Comfort working in a fast-paced, collaborative environment.
Why Saratoga Hospital
* A caring, community-focused culture rooted in teamwork and trust.
* Supportive leadership that invests in your development and well-being.
* Comprehensive benefits, including medical, dental, retirement plans, tuition assistance, and wellness programs. Click here to view our complete benefits guide.
* Opportunities to grow within the Albany Med Health System.
* Located in beautiful Saratoga Springs, known for its vibrant community, outdoor recreation, and cultural attractions.
Our Commitment
We are an equal opportunity employer and strongly encourage individuals of all backgrounds and experiences to apply. If you're passionate about healthcare and community service-even if you don't meet every qualification listed-we'd still love to hear from you.
How to Apply
Click the 'apply' button to submit your resume and complete our online application. Applications are reviewed on a rolling basis-apply today and discover what makes Saratoga Hospital a special place to grow your career.
$52.6k-92.5k yearly 60d+ ago
Revenue Accountant
Open Roles
Staff accountant job in Day, NY
Waymo is an autonomous driving technology company with the mission to be the world's most trusted driver. Since its start as the Google Self-Driving Car Project in 2009, Waymo has focused on building the Waymo Driver-The World's Most Experienced Driver™-to improve access to mobility while saving thousands of lives now lost to traffic crashes. The Waymo Driver powers Waymo's fully autonomous ride-hail service and can also be applied to a range of vehicle platforms and product use cases. The Waymo Driver has provided over ten million rider-only trips, enabled by its experience autonomously driving over 100 million miles on public roads and tens of billions in simulation across 15+ U.S. states.
Our Driver may be autonomous, but Waymo's finances are steered by experts like you. The Finance and Accounting group manages all aspects of our finances and serves as trusted advisors for all our strategic and enterprise endeavors. Along with managing compilation of our financial statements, looking after our cash and overseeing compliance, we partner closely with the business in overseeing company wide resource allocation, developing cutting edge compensation initiatives and generating detailed financial analyses to drive the business forward. We also develop advanced capital strategies to support the company's short- and long-term future.
In this hybrid role, you will be reporting to the Accounting Manager - Revenue, Technical Accounting, and Taxes.
You will:
Perform month end revenue accounting for Waymo entities by working with third party service providers
Automate and improve existing revenue and order-to-cash accounting processes, and help design processes for new business areas
Partner with cross-functional stakeholders on revenue matters related to regulatory and compliance reporting
Communicate with Waymo customers on invoicing and tax matters
You have:
Bachelor's degree or equivalent practical experience
4+ years of relevant revenue accounting work experience following US GAAP
Experience managing order-to-cash processes
Experience handling and maintaining the integrity of confidential information
We prefer:
Experience working in a cross-functional environment and to lead and guide complex programs
Experience driving process improvement and other project management experience
Strong customer service, communication, interpersonal, and teamwork skills
Experience in the tech industry
Experience with SAP Cloud
The expected base salary range for this full-time position across US locations is listed below. Actual starting pay will be based on job-related factors, including exact work location, experience, relevant training and education, and skill level. Your recruiter can share more about the specific salary range for the role location or, if the role can be performed remote, the specific salary range for your preferred location, during the hiring process.
Waymo employees are also eligible to participate in Waymo's discretionary annual bonus program, equity incentive plan, and generous Company benefits program, subject to eligibility requirements.
Salary Range$120,000-$151,000 USD
$120k-151k yearly Auto-Apply 2d ago
Bookkeeper
Gelfand, Rennert & Feldman 4.1
Staff accountant job in Day, NY
Gelfand, Rennert & Feldman is seeking a full charge Bookkeeper with ideally entertainment/touring experience to join our team of dedicated professionals. This position can be based out of Manhattan, NY on a hybrid basis. The Bookkeeper is responsible for computing, classifying, and recording financial transactions to ensure the financial records of assigned clients are accurate.
Primary Responsibilities
Process accounts payable and accounts receivable
Perform credit card and bank reconciliations
Maintain electronic filing system
General communication with vendors, clients, and client representatives via phone, email, and in-person
Perform cash flow reports and cash balances as required
Assist in assembling information for year-end tax packages for accountants
Provide some assistance on insurance questions
Identify, trace, and correct errors
Prepare/review 1099 reports
Prepare journal entries
Assist in the preparation and processing of payroll, as well as applicable reporting
Print reports (such as financial statements) for review
Other projects and duties as assigned
Qualifications:
1+ years of bookkeeping experience in an entertainment business management firm or 2+ years of general accounting experience
High School Diploma or GED equivalent is required; Associate's degree is preferred
Excellent communication skills (in person, on the phone, and via email)
Sense of urgency
Keen eye for details
Ability to quickly shift gears without losing focus
Solid interpersonal skills and other key soft skills (i.e., communication, time management, emotional intelligence, adaptability, active listening, critical-thinking, etc.)
Experience with AgilLink software is highly preferred
This is a non-exempt, overtime eligible position. The annualized base pay range for this role is expected to be between $54,018 - $59,431. Actual base pay could vary based on factors including but not limited to experience, subject matter expertise, geographic location where work will be performed, and the applicant's skill set. The base pay is just one component of the total compensation package for employees. Other rewards may include an annual bonus and a comprehensive benefits package. Candidate information, including education and work experience, is verified upon an offer of employment. Falsification of application information may be grounds for denying employment.
Gelfand, Rennert & Feldman is an Equal Opportunity Employer.
For information on our Job Applicant Privacy Notice, please click here.
#LI-TN1
Founded in 1967, Gelfand, Rennert & Feldman ("GRF") is a leading full-service business management firm for an exclusive assortment of entertainers, executives and select high net worth individuals. Our 30 partners and over 600 staff members deliver comprehensive financial services in the fields of music, motion pictures, television, sports, literature, and other creative and performing arts. Our firm has offices in Los Angeles, New York City, Nashville, San Rafael, Wilmington, and London.
The following language is for US based roles only
For California Applicants: Information on your California privacy rights can be found here
For Indiana Applicants: It is unlawful for an employer to discriminate against a prospective employee on the basis of status as a veteran by refusing to employ an applicant on the basis that they are a veteran of the armed forces of the United States, a member of the Indiana National Guard or a member of a reserve component.
For Maryland Applicants: I UNDERSTAND THAT UNDER MARYLAND LAW, AN EMPLOYER MAY NOT REQUIRE OR DEMAND, AS A CONDITION OF EMPLOYMENT, PROSPECTIVE EMPLOYMENT OR CONTINUED EMPLOYMENT, THAT ANY INDIVIDUAL SUBMIT TO OR TAKE A POLYGRAP OR SIMILAR TEST. AN EMPLOYER WHO VIOLATES THIS LAW IS GUILTY OF A MISDEMEANOR AND SUBJECT TO A FINE NOT EXCEEDING $100.
For Massachusetts Applicants: It is unlawful in Massachusetts to require or administer a lie detector test as a condition of employment or continued employment. An employer who violates this shall be subject to criminal penalties and civil liability.
For Montana Applicants: If hired, the employment relationship is governed by the Wrongful Discharge from Employment Act. Mont. Code Ann. Section 39-2-901.
For Rhode Island Applicants: Focus is subject to Chapters 29-38 of Title 28 of the General Laws of Rhode Island and is therefore covered by the state's workers' compensation law. If you willfully provide false information about your ability to perform the essential functions of the job, with or without reasonable accommodations, you may be barred from filing a claim under the provisions of the Workers' Compensation Act of the State of Rhode Island if the false information is directly related to the personal injury that is the basis for the new claim for compensation. The Company complies fully with the Americans with Disabilities Act.
$54k-59.4k yearly Auto-Apply 45d ago
Senior Bookkeeper
Actalent
Staff accountant job in Colonie, NY
Accounts Payable & Procurement: Oversee the procure-to-pay cycle in NetSuite, including entering and managing vendor bills, performing accurate three-way matching of purchase orders, receipts, and invoices, and scheduling vendor payments according to terms. Enforce purchasing controls such as the use of purchase requisitions and approvals for expenditures, ensure POs are issued only to approved suppliers, and give special attention to purchases of regulated materials (e.g. controlled substances) to ensure all compliance requirements are met. Coordinate with vendors and internal departments to resolve billing or payment issues promptly, and utilize electronic payment methods (ACH/wires) as appropriate for efficient disbursements. Accounts Receivable & Billing: Manage the order-to-cash process from invoicing through collections. Generate and send customer invoices in NetSuite immediately upon product shipment, ensuring that products have passed all required quality inspections before billing. Record and apply incoming customer payments (checks, ACH, credit card, etc.), and reconcile any payment discrepancies. Continuously monitor accounts receivable aging and follow up on overdue invoices by sending reminders or statements, helping to maintain healthy cash flow. Work closely with the sales and customer service teams to address any billing questions or credit issues, and enforce credit terms or holds as needed to manage risk. General Ledger & Reconciliation: Maintain the general ledger and ensure all financial transactions are accurately recorded in NetSuite. Uphold an organized Chart of Accounts that meets reporting needs and supports clear tracking of financial activities. Reconcile sub-ledgers for AR, AP, inventory, and other modules to the GL on a regular (monthly) basis to confirm that all subsidiary records tie to the financial statements. Perform bank reconciliations for all company bank accounts, investigating and resolving any discrepancies between bank statements and NetSuite records in a timely manner. Ensure that transactions flow appropriately from all modules to the GL (minimizing manual journal entries by capturing data upstream), and maintain supporting schedules for key balance sheet accounts (prepaids, accruals, fixed assets, inventory, etc.) as needed. Inventory Management & Cost Accounting: Work with the operations and supply chain teams to ensure inventory transactions are properly reflected in the financial system. Monitor inventory-related entries such as receipts, adjustments, and usage so that inventory values in NetSuite remain accurate. Assist in reconciling physical inventory counts with system balances and investigate any variances. Calculate and record manufacturing cost variances or inventory adjustments (e.g. scrap, yield loss) in the GL each period, ensuring that cost of goods sold is correctly recognized when products are sold and that inventory is valued in accordance with GAAP. Support the procurement and production departments by providing financial insights into inventory levels, valuation, and turnover, and ensure that any inventory write-offs or adjustments are properly documented and approved. Compliance & Audit: Ensure that all financial processes and record-keeping adhere to company policies, GAAP, and relevant pharmaceutical industry regulations. This includes maintaining proper documentation and audit trails for all transactions, and implementing internal controls such as segregation of duties and approval workflows to safeguard assets (for example, dual approvals for high-value transactions or journal entries). Verify that financial operations support compliance requirements specific to a 503B pharmaceutical manufacturing environment - for instance, confirming that shipments and invoices are only processed for licensed facilities and that purchases of controlled substances follow DEA guidelines and are appropriately documented. Prepare for and support any audits or inspections (internal, external, or regulatory): provide auditors with requested financial reports, supporting schedules, and evidence of controls (such as system approval logs or reconciliations) to demonstrate a compliant and well-controlled finance operation. Proactively address any audit findings and strengthen processes to meet FDA and DEA record-keeping standards as well as standard financial audits. Month-End Close & Reporting: Manage the month-end and year-end close process, ensuring all tasks are completed accurately and on schedule. This includes posting necessary adjusting journal entries (accruals, deferrals, depreciation, etc.), reconciling all balance sheet accounts, and reviewing the trial balance for any anomalies or errors that need correction. Use a checklist to track close activities and coordinate with team members (and other departments) to obtain any needed information for close. Prepare timely financial statements - Income Statement, Balance Sheet, and Cash Flow - directly from NetSuite and perform initial reviews for accuracy. Investigate and explain significant period-over-period variances in financial results to assist management with understanding the company's financial performance. Ensure that revenue is recognized in line with applicable accounting standards and that inventory is properly accounted for as an asset until sold (in compliance with GAAP). Provide financial reports and analysis to management as required, and participate in financial review meetings to present the data. Cross-Functional Collaboration & Process Improvement: Collaborate closely with cross-functional teams - including procurement, inventory/warehouse, production, and quality assurance - to ensure financial data and processes are aligned with operational workflows. For example, work with the Quality Assurance department to implement controls such as holding vendor invoice payments until materials have passed QA inspection and are approved for use. Assist the supply chain team in establishing efficient procurement and inventory management practices by leveraging NetSuite capabilities (like automated approval routing or real-time inventory tracking). Continuously evaluate the efficiency of our NetSuite financial workflows and identify opportunities for improvement or further automation. This could include implementing accounts payable automation tools (OCR invoice scanning, electronic approvals), optimizing the usage of NetSuite reports/analytics for better AP/AR metrics tracking, or refining our financial policies to better suit the pharma manufacturing context. Provide recommendations to management for system or process enhancements and help test/implement new NetSuite features or updates. Additionally, offer training or guidance to junior finance staff or other NetSuite users in the company to ensure consistent and correct use of the system.
Skills
netsuite, Accounts payable, Accounts receivable, Finance, ledger, reconciliation, Bookkeeping, compliance, audit, Accounting, gaap
Top Skills Details
netsuite,Accounts payable,Accounts receivable,Finance,ledger,reconciliation,Bookkeeping
Additional Skills & Qualifications
Bachelor's degree in Accounting, Finance, or a related field (or equivalent experience). Minimum 5 years of hands-on experience with NetSuite ERP in an accounting or bookkeeping capacity is required, with a strong track record of managing day-to-day financial transactions through NetSuite. Solid understanding of Generally Accepted Accounting Principles (GAAP) and core accounting functions. Proven experience handling accounts payable, accounts receivable, general ledger, and bank reconciliations is essential. Ability to prepare financial statements and support month-end close processes. NetSuite Skills: Proficiency in NetSuite's financial modules and workflows, including transactions entry, reporting, and basic administration. Able to navigate and utilize NetSuite for AP/AR processing, journal entries, bank reconciliation, and running financial reports. Experience with NetSuite's inventory and purchasing modules (item receipts, inventory adjustments, purchase orders) and how they integrate with the GL is highly valuable.
Experience Level
Expert Level
Job Type & Location
This is a Contract to Hire position based out of Colonie, NY.
Pay and Benefits
The pay range for this position is $35.00 - $50.00/hr.
Eligibility requirements apply to some benefits and may depend on your job classification and length of employment. Benefits are subject to change and may be subject to specific elections, plan, or program terms. If eligible, the benefits available for this temporary role may include the following: - Medical, dental & vision - Critical Illness, Accident, and Hospital - 401(k) Retirement Plan - Pre-tax and Roth post-tax contributions available - Life Insurance (Voluntary Life & AD&D for the employee and dependents) - Short and long-term disability - Health Spending Account (HSA) - Transportation benefits - Employee Assistance Program - Time Off/Leave (PTO, Vacation or Sick Leave)
Workplace Type
This is a fully onsite position in Colonie,NY.
Application Deadline
This position is anticipated to close on Jan 21, 2026.
About Actalent
Actalent is a global leader in engineering and sciences services and talent solutions. We help visionary companies advance their engineering and science initiatives through access to specialized experts who drive scale, innovation and speed to market. With a network of almost 30,000 consultants and more than 4,500 clients across the U.S., Canada, Asia and Europe, Actalent serves many of the Fortune 500.
The company is an equal opportunity employer and will consider all applications without regard to race, sex, age, color, religion, national origin, veteran status, disability, sexual orientation, gender identity, genetic information or any characteristic protected by law.
If you would like to request a reasonable accommodation, such as the modification or adjustment of the job application process or interviewing due to a disability, please email actalentaccommodation@actalentservices.com (%20actalentaccommodation@actalentservices.com) for other accommodation options.
$35-50 hourly 15d ago
Bookkeeper
Aim Services 4.0
Staff accountant job in Saratoga Springs, NY
We are seeking a detail-oriented and proactive Bookkeeper to join our Finance team. The ideal candidate will be responsible for managing Accounts Payable and Accounts Receivable functions, ensuring accuracy in billing, and supporting program financial operations. This role requires strong organizational skills, a solid understanding of accounting principles, and the ability to collaborate effectively across departments. Experience in nonprofit or program-based financial management is preferred.
Purpose:
As a valued member of the Finance Team, you will work collaboratively toward our shared commitment to putting people first. In this role, you will support the management of all funds and expenditures that help sustain services provided by AIM. You will help ensure that financial records are accurate, transparent, and up to date, supporting timely reporting and review. Through your work, you will contribute directly to AIM's mission of promoting accountability and supporting meaningful, person-centered services.
Essential Functions:
· Review, coordinate, and process Accounts Payable transactions to ensure accuracy and compliance with company policies and program guidelines.
· Ensure vendor billing and payments are completed accurately and timely.
· Maintain, reconcile, and review Accounts Receivable to support accurate financial reporting.
· Assist with fiscal oversight of program billing, ensuring accuracy and adherence to payer and program guidelines.
· Function as the financial liaison for assigned programs, working closely with program managers and other departments to ensure financial accuracy and compliance.
Requirements
Qualifications
· Associates degree or equivalent experience required, Bachelor's degree in accounting preferred.
· Demonstrated knowledge of accounting procedures and systems.
· Effective time management and math skills.
· Strong organizational skills with a keen ability to prioritize and multi-task. Detail oriented.
· Edits work for spelling and grammar, presents numerical data effectively, and can read and interpret written information.
· Demonstrates accuracy and thoroughness and monitors own work to ensure quality.
· Proficiency in Microsoft Word and Excel.
· Adherence to Agency policies including Attendance Policy.
· Valid NYS Drivers' License, acceptable to Agency insurance standards preferred. Maintain valid insurance and provide insurance card if you use your own vehicle.
Physical/Cognitive Requirements:
· Ability to maintain a high level of professionalism and confidentiality.
· Ability to remain calm in stressful or demanding situations.
· Sitting and/or computer use/writing for extended periods of time.
· Ability to perform multiple tasks.
· Bending, reaching, pushing, and pulling as needed in the workplace.
Responsible To: CFO, Director of Finance and Controller/designee
Salary Description $22-$25 / hour
$22-25 hourly 60d+ ago
Accountant
Albany Medical Health System 4.4
Staff accountant job in Albany, NY
Department/Unit: Budget & Planning Work Shift: Day (United States of America) Salary Range: $55,895.80 - $83,843.71 To assist in the day-to-day function of the Patient Receivable Control & Managed Care Reporting Department. Basic Functions * To assist in the day-to-day function of the Patient Receivable Control & Managed Care Reporting Department.
Qualifications
* BS or BBA in Accounting/Business with 1+ years of experience - Healthcare preferred.
* Must be capable of adapting quickly and effectively to change. Strong organizational skills and the ability to meet deadlines are required.
* Knowledge of Microsoft Office applications, specifically Excel
Specific Responsibilities
* Assist the Administrative Support Associates with the daily cash processing, maintaining the cash files, and other related receivable control tasks.
* Prepare journal entries associated with the cash flow of patient reimbursements, accommodation transfers, and other program transfers that are required.
* Perform monthly reconciliations of assigned general ledger accounts relating to patient accounts receivable.
* Assist in duties related to monthly closing activities including, but not limited to, testing of the estimated allowances of unbilled inpatient accounts, inpatient and outpatient revenue review, assist with the compilation of month end revenue reports, and other task related to valuing and reporting inpatient and outpatient revenue.
* Perform other duties as required.
Relationships
* Interact with Billing Directors, Managers and Supervisors.
* Interact with Financial Reporting and Accounts Payable staff.
Thank you for your interest in Albany Medical Center!
Albany Medical is an equal opportunity employer.
This role may require access to information considered sensitive to Albany Medical Center, its patients, affiliates, and partners, including but not limited to HIPAA Protected Health Information and other information regulated by Federal and New York State statutes. Workforce members are expected to ensure that:
Access to information is based on a "need to know" and is the minimum necessary to properly perform assigned duties. Use or disclosure shall not exceed the minimum amount of information needed to accomplish an intended purpose. Reasonable efforts, consistent with Albany Med Center policies and standards, shall be made to ensure that information is adequately protected from unauthorized access and modification.
$55.9k-83.8k yearly Auto-Apply 23d ago
Lia Auto Group - Bookkeeper
The Lia Group 4.5
Staff accountant job in Albany, NY
Lia Auto Group is seeking a Bookkeeper(s) to join our team.
COMPENSATION RANGE: $24-$30/hour based on experience
SIGN ON BONUS: N/A
REQUIREMENTS:
Knowledge of dealership procedures
Willingness to take initiative
Computer literacy
Ability to perform job responsibilities and meet deadlines easily
Professional personal appearance & excellent communication skills
Excellent verbal/written communication, strong negotiation and presentation skills
Must have clean & valid driver's license
KEY RESPONSIBILITIES:
Break down and post sold deals to accounting
Submit and track rebates
Cut checks to vendors, customers and banks
Calculate and submit commissions for weekly payroll
Post and reconcile weekly parts statement
Manage FP account and reconcile at month end
Track and report funding delays
Process daily bank deposit
Process monthly warranty remittance
Assist Office Manager with month end tasks
Support dealership staff to ensure accuracy in accounting
Any other duties assigned by the manager
BENEFITS:
Medical, Dental and Vision
401K Plan with Employer Match
Paid Time Off
Paid Weekly
An employer funded Life Insurance Plan
Discounts on services and parts
Employee vehicle purchase plans
Company provided uniforms
ABOUT US:
The Lia Auto Group is one of the top 100 automotive groups in the country, established in 1977 by Bill Lia Sr. The group consists of 21 dealerships throughout New York, Connecticut, and Massachusetts, offering a variety of manufacturers including Honda, Toyota, Hyundai, Nissan, Infiniti, Volkswagen, and Chrysler Jeep Dodge Ram (CJDR). Lia also provides rental and full-body repair services at the Lia Collision Center in Colonie, NY.
The Lia Group Companies has since grown to include Vent Fitness, Lia Insurance Agency, BurgerFi, and various commercial properties including Hamilton Square shopping center in Guilderland, NY. Our team of over 1,500 dedicated staff members have delivered quality products and exceptional consumer experiences for over 40 years.
With a long history of success and continuous expansion, the Lia Auto Group provides ample opportunity for development and growth to current and future employees. We offer competitive wages, generous benefits, and a rewarding, safety-conscious work environment. We seek those who can help us take our growth and service to the next level.
COMMUNITY:
We are heavily involved in supporting the communities we live in and work in and look for people to join us in volunteerism and fundraising efforts for many local charities and non-profit organizations.
How much does a staff accountant earn in Schenectady, NY?
The average staff accountant in Schenectady, NY earns between $51,000 and $83,000 annually. This compares to the national average staff accountant range of $42,000 to $68,000.
Average staff accountant salary in Schenectady, NY
$65,000
What are the biggest employers of Staff Accountants in Schenectady, NY?
The biggest employers of Staff Accountants in Schenectady, NY are: