Junior Accountant - GAAP, Bank Recs & Close Growth

QE Solar

Springfield (AL)

On-site

USD 45,000 - 60,000

Full time

13 days ago
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Benefits offered by this job

Health benefits
Wellbeing program
Perks marketplace discounts
Family building assistance
Learning & development
Life & disability insurance

Job summary

QE Solar is seeking an entry-level accounting professional to support general ledger, GAAP compliance, and multi-entity close processes in our New Jersey office.

You will prepare and post journal entries, reconcile accounts, assist with monthly/quarterly/year-end closes, and support AP/AR and financial reporting to ensure audit-ready records. Proficiency in Excel and ERP systems such as NetSuite is preferred.

Qualifications

  • Entry-level accounting role open to recent graduates or experienced bookkeepers transitioning into accounting.
  • Knowledge of GAAP and core accounting principles.
  • Experience with bank reconciliations and cash clearing, coursework/internship accepted.
  • Detail-oriented with strong organizational skills.
  • Proficient in Excel and exposure to ERP systems such as NetSuite.

Responsibilities

  • Prepare, review, and post journal entries in accordance with GAAP and maintain GL records.
  • Own balance sheet reconciliations with documentation and support.
  • Assist monthly, quarterly, and year-end close processes.
  • Perform daily and monthly bank reconciliations and cash positioning.
  • Process vendor invoices, employee expenses, and support customer invoicing/collections.
  • Assist in preparing financial reports and supporting schedules; ensure audit-ready records.

Skills

GAAP knowledge
Attention to detail
Organizational skills
Strong communication
Problem-solving skills

Education

Accounting or Finance degree

Tools

NetSuite
Microsoft Excel

Job description

QE Solar is seeking an entry-level accounting professional to support general ledger, GAAP compliance, and multi-entity close processes in our New Jersey office.

You will prepare and post journal entries, reconcile accounts, assist with monthly/quarterly/year-end closes, and support AP/AR and financial reporting to ensure audit-ready records. Proficiency in Excel and ERP systems such as NetSuite is preferred.

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