Accountant — Growth, Benefits, and Flexible Schedule

BeneSys

Canfield (OH)

On-site

USD 55,000 - 65,000

Full time

14 days+
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Benefits offered by this job

Paid holidays
PTO
Bereavement leave
Jury leave
Health insurance
Life and disability insurance
401k with employer match
Tuition reimbursement
Career development
Referral bonus
Annual raises

Job summary

BeneSys in Canfield, OH is seeking an Accountant to compile and maintain financial records, analyze data, and prepare financial reports for our clients. The position may require performing duties under pressure to meet tight deadlines while ensuring accuracy and compliance with applicable policies and procedures.

Key responsibilities include completing bank reconciliations and journal entries, processing payroll, handling tax reporting, posting monthly summaries, and coordinating with fund

Qualifications

  • Bachelor's Degree in Accounting or related field is required.
  • At least 3 years of accounting experience is required.

Responsibilities

  • Complete bank reconciliations for various accounts and prepare journal entries.
  • Balance month end trust statements and record investment activity; prepare corresponding journal entries.
  • Process payroll and related tax reporting; coordinate with Paychex or Peachtree/QuickBooks.
  • Prepare and file quarterly and year-end tax reports; resolve discrepancies with prior returns.
  • Prepare and post monthly journal summaries and financial reports for Plan Managers.
  • Coordinate with auditors during year-end audit and provide footnotes if required.

Education

Bachelor's Degree in Accounting or related field

Job description

BeneSys in Canfield, OH is seeking an Accountant to compile and maintain financial records, analyze data, and prepare financial reports for our clients. The position may require performing duties under pressure to meet tight deadlines while ensuring accuracy and compliance with applicable policies and procedures.

Key responsibilities include completing bank reconciliations and journal entries, processing payroll, handling tax reporting, posting monthly summaries, and coordinating with fund

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