Employee-Owned Corporate Accountant

Wallick

New Albany (OH)

On-site

USD 65,000 - 90,000

Full time

2 days ago
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Benefits offered by this job

Health insurance
Dental insurance
Vision insurance
Paid time off
Gym membership reimbursement
Paid parental leave
401K

Job summary

Wallick Communities is hiring a Corporate Accountant at its New Albany, OH corporate office. The role focuses on the overall accuracy of corporate financials, requiring strong knowledge of Wallick's business units to produce precise results.

The candidate will manage standard accounting entries, reconciliations, and financial reporting across corporate accounts, ensuring GAAP and HUD compliance while supporting budgets and audits.

Qualifications

  • Requires a bachelor's degree in accounting and 1-3 years accounting or finance experience.
  • Intermediate knowledge of accounting is required.

Responsibilities

  • Apply accounting principles to review, analyze, interpret financial statements for corporate accounts.
  • Perform all accounting entries and reconciliations for corporate balance sheets.
  • Perform accounting entries and analyses for all income statement accounts across corporate units.
  • Maintain general ledgers, reconcile bank accounts, accounts payable and accounts receivable.
  • Reconcile balance sheet items, explain balances to operations, and correct discrepancies.
  • Ensure compliance with U.S. GAAP and HUD rules.
  • Prepare documents for annual audits and assist auditors as needed.
  • Assist in preparing annual budgets and forecasts for the upcoming fiscal year.

Skills

Accounting knowledge
Communication skills
GAAP understanding

Education

Bachelor's degree in accounting

Tools

Yardi
Microsoft Office
Excel

Job description

Wallick Communities is hiring a Corporate Accountant at its New Albany, OH corporate office. The role focuses on the overall accuracy of corporate financials, requiring strong knowledge of Wallick's business units to produce precise results.

The candidate will manage standard accounting entries, reconciliations, and financial reporting across corporate accounts, ensuring GAAP and HUD compliance while supporting budgets and audits.

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