Management Accountant — Global Impact & Growth

IRIS Software Group

Boston (MA)

On-site

USD 60,000 - 66,000

Full time

2 days ago
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Job summary

IRIS Software Group seeks a qualified accountant to join its US finance team, handling month-end tasks, revenue recognition, and balance sheet reporting across multiple systems. The role emphasizes accuracy, timely delivery, and cross-functional collaboration.

Ideal candidates will have solid Excel skills and at least 3 years of accounting experience, with strong attention to detail and the ability to work with dispersed teams. You’ll support audits and ensure compliant financial reporting.

Qualifications

  • Bachelor’s degree in accounting or finance.
  • Minimum of 3 years’ accounting experience.
  • Experience working with multiple software systems (e.g., SAP, NetSuite).
  • Strong knowledge of revenue recognition.

Responsibilities

  • Build monthly billing files for Core and Ancillary billings.
  • Reconcile cash accounts and resolve discrepancies.
  • Handle refunds, cancellations and chargebacks.
  • Perform monthly balance sheet reconciliations.
  • Process deferred revenue, accruals, and prepayments.
  • Manage month-end close procedures for timely reporting.
  • Monitor accounts receivable overdue amounts.
  • Review and file sales tax returns and payments.
  • Support annual audit and liaise with auditors.
  • Provide ad hoc support to Finance Manager.

Skills

Excel Pivot Tables
Microsoft Office
Analytical skills
Attention to detail

Education

Bachelor’s in accounting or finance

Tools

SAP
NetSuite

Job description

IRIS Software Group seeks a qualified accountant to join its US finance team, handling month-end tasks, revenue recognition, and balance sheet reporting across multiple systems. The role emphasizes accuracy, timely delivery, and cross-functional collaboration.

Ideal candidates will have solid Excel skills and at least 3 years of accounting experience, with strong attention to detail and the ability to work with dispersed teams. You’ll support audits and ensure compliant financial reporting.

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