General Ledger Accountant - Remote, Client-Focused Finance

casellejobs

Provo (UT)

Hybrid

USD 55,000 - 75,000

Full time

10 days ago
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Job summary

Caselle is seeking a General Ledger Accountant in Provo, UT to maintain financial records, reconcile accounts, and support monthly close. The role uses Excel and Caselle Software to investigate discrepancies and ensure ledger integrity while managing multiple client workloads and meeting deadlines.

The position focuses on accurate bank reconciliations, journal entries, and financial reporting support, with opportunities to improve procedures and controls in a collaborative, client‑facing

Qualifications

  • Intermediate-level experience in general ledger accounting or similar function.
  • Working knowledge of accounting principles and routine transactions.
  • Proficiency in Microsoft Excel, including formulas, sorting, filtering, data reconciliation.

Responsibilities

  • Prepare accurate bank reconciliations and research unusual transactions.
  • Reconcile AP/AR activity to the general ledger and resolve differences.
  • Prepare, review, and post journal entries with supporting documentation.
  • Analyze general ledger balances and investigate variances, errors, and incomplete transactions.
  • Monitor clearing-account workflows between subsidiary systems and the general ledger.
  • Organize and manage an assigned client workload and meet deadlines.
  • Build professional client relationships and respond to accounting questions.

Skills

General ledger
Account reconciliation
Excel
Analytical skills
Independent work

Education

Associate or bachelor's degree in accounting/finance
Bachelor's degree preferred

Tools

Caselle Software

Job description

Caselle is seeking a General Ledger Accountant in Provo, UT to maintain financial records, reconcile accounts, and support monthly close. The role uses Excel and Caselle Software to investigate discrepancies and ensure ledger integrity while managing multiple client workloads and meeting deadlines.

The position focuses on accurate bank reconciliations, journal entries, and financial reporting support, with opportunities to improve procedures and controls in a collaborative, client‑facing

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