Junior Finance & Accounting Analyst: Reconciliations

Scientech Research LLC

New Jersey

On-site

USD 65,000 - 95,000

Full time

14 days+
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Job summary

Scientech Research LLC in New Jersey is seeking a Finance & Accounting Analyst to support recurring accounting workflows across the management company and funds. The role emphasizes day-to-day execution and month-end close support, maintaining clean records and reliable internal reporting.

You will contribute to treasury activities, expense allocations, and process improvements, while collaborating with internal teams and external service providers to ensure timely, accurate financial statements

Qualifications

  • Bachelor’s degree in Accounting.
  • 1–3 years of experience in accounting, finance operations, or a similar role with hands-on close responsibilities.
  • Strong accounting fundamentals (reconciliations, month-end close, financial statements).
  • Strong Excel skills; comfortable handling structured datasets and performing analysis.

Responsibilities

  • Support month-end close activities including reconciliations and internal reporting packages (P&L, balance sheet, key schedules).
  • Assist with recurring fund workflows: expense allocations and reimbursement support.
  • Support fund calculations and fee-related activities with internal and external stakeholders.
  • Support AP/AR processes: invoice tracking, payments, and issue resolution across entities.
  • Maintain organized documentation and promote repeatable processes.

Skills

Excel
Reconciliations
Month-end close
Financial analysis
Data handling

Education

Bachelor’s degree in Accounting

Job description

Scientech Research LLC in New Jersey is seeking a Finance & Accounting Analyst to support recurring accounting workflows across the management company and funds. The role emphasizes day-to-day execution and month-end close support, maintaining clean records and reliable internal reporting.

You will contribute to treasury activities, expense allocations, and process improvements, while collaborating with internal teams and external service providers to ensure timely, accurate financial statements

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