Accountant II

Sysco

Saint Cloud (MN)

On-site

USD 65,000 - 85,000

Full time

14 days+
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Job summary

Sysco in Saint Cloud, MN is seeking a detail-oriented Accounting professional to ensure accurate financial reporting through journal entries, asset records, and reconciliations.

The role supports SOX testing and the annual profit plan, requires a Bachelor's in Accounting and at least 3 years of accounting experience, and offers growth within a collaborative finance team.

Qualifications

  • Bachelor’s degree in Accounting is required.
  • At least 3 years of accounting experience.
  • Strong knowledge of GAAP and financial reporting.

Responsibilities

  • Maintains fixed asset records in compliance with Sysco FAMM and applies for approval of new acquisitions.
  • Prepares journal entries and balance sheet reconciliations.
  • Assists with SOX testing.
  • Assists with the development of the annual profit plan.

Skills

GAAP knowledge
10-key data entry
Balance sheets
Income statements
Cash flow statements
Journal entries

Education

Bachelor’s degree in Accounting

Tools

Microsoft Office Suite
Excel

Job description

The position’s purpose is to ensure the efficient and effective operation of the accounting department through financial reporting, reconciliations, and audits.

Responsibilities
  • Maintains fixed asset records in compliance with Sysco FAMM and applies for approval of new acquisitions.
  • Prepares journal entries and balance sheet reconciliations.
  • Assists with SOX testing.
  • Assists with the development of the annual profit plan.
Qualifications
Education
  • Bachelor’s degree in Accounting
Experience
  • 3 years in Accounting
Professional Skills
  • Strong knowledge of Microsoft Office Suite; strong understanding of GAAP principles; strong 10-key and data entry skills; ability to compile balance sheets, comparative income statements, and cash flow statements
  • Describe the most important decisions made by this position.
  • Most important decisions made fully independently:
  • Journal entry preparation/monthly account reconciliations
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