Accounting Assistant: Precision in Finance & Operations (Onsite)

Pditechnologies

Temple (TX)

On-site

USD 52,000 - 76,000

Full time

14 days+

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Benefits offered by this job

Competitive salary
Market‑competitive benefits
Hybrid/onsite flexibility

Job summary

PDI Technologies in Temple, Texas is seeking a detail‑oriented finance professional to support accounting operations for leading convenience retail and petroleum clients. You will manage routine A/P and A/R, post journal entries, and generate basic financial reports in collaboration with store managers.

This onsite role offers hands‑on experience with real business data, exposure to general ledger activities, and opportunities to contribute to improved accuracy and efficiency in finance and

Qualifications

  • Strong attention to detail and organizational skills.
  • Excellent verbal and written communication abilities.
  • Intermediate Excel skills and familiarity with financial data.

Responsibilities

  • Maintain and record business transactions for assigned accounts, including A/P and A/R activities.
  • Perform general ledger activities such as journal entries for accruals or reclassifications.
  • Interface with store managers to ensure accurate data, prepare statements and basic financial reports.
  • Generate and review customer financial statements, post journal entries, and reconcile accounts.
  • Review monthly operating results for accuracy and provide improvement recommendations.
  • Follow up on accounting/system issues to ensure proper reporting of financial data.
  • Develop and maintain financial reporting and tracking tools.

Skills

Attention to detail
Organizational skills
Verbal and written communication
Customer service
Retail experience

Tools

Excel

Job description

PDI Technologies in Temple, Texas is seeking a detail‑oriented finance professional to support accounting operations for leading convenience retail and petroleum clients. You will manage routine A/P and A/R, post journal entries, and generate basic financial reports in collaboration with store managers.

This onsite role offers hands‑on experience with real business data, exposure to general ledger activities, and opportunities to contribute to improved accuracy and efficiency in finance and

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