Senior Accountant

Socket.dev

Saint Petersburg (FL)

On-site

USD 75,000 - 110,000

Full time

2 days ago
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Job summary

Socket.dev is seeking a Senior Accountant with 4+ years of experience to own the month-end close, reconciliations, and maintain financial integrity. You will lead close activities, prepare journal entries, analyze variances, and support GAAP compliance.

In this role, collaboration with FP&A, operations, and auditors will be essential as you ensure timely, accurate financial reporting and continuous process improvements across the close cycle.

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field.
  • 4+ years of progressive accounting experience with hands-on month-end close responsibility.
  • Experience with GAAP standards and month-end processes.
  • CPA or CPA-track preferred.

Responsibilities

  • Own and execute key components of the month-end close process, ensuring timely completion within tight deadlines.
  • Prepare and post complex journal entries (accruals, deferrals, reclasses, allocations).
  • Perform and review balance sheet reconciliations with full support for accuracy.
  • Analyze and explain month-over-month variances in financial results.
  • Maintain and improve the close checklist, timelines, and workflows.
  • Identify bottlenecks and implement process improvements to accelerate the close cycle.

Skills

Month-end close
GAAP knowledge
Reconciliation
Analytical skills
Communication
Process improvement

Education

Bachelor's degree in Accounting, Finance, or related field

Tools

SAP
Advanced Excel

Job description

Description

We are seeking a highly organized and deadline-driven Senior Accountant with 4+ years of experience and a proven track record in leading and executing month-end close processes. This role is critical to ensuring accurate, timely financial reporting and will serve as a key owner of the close cycle, reconciliations, and financial integrity of the organization.

Key Responsibilities
Month-End Close
  • Own and execute key components of the month-end close process, ensuring timely completion within tight deadlines
  • Prepare and post complex journal entries (accruals, deferrals, reclasses, allocations)
  • Perform and review balance sheet reconciliations, ensuring all accounts are accurate and fully supported
  • Analyze and explain month-over-month variances in financial results
  • Maintain and continuously improve the close checklist, timelines, and workflows
  • Identify bottlenecks and implement process improvements to accelerate the close cycle
Financial Reporting & Analysis
  • Own the integrity and accuracy of monthly financial statements by leading close activities, validating underlying data, and ensuring all balances are fully supported
  • Ensure accuracy and compliance with GAAP standards
  • Provide insights into financial performance and key trends
Audit & Compliance Support
  • Support internal and external audits by preparing schedules and responding to auditor requests
  • Assist with year-end close and financial statement preparation
Cross-Functional Collaboration
  • Partner with FP&A, operations, and other departments to gather data for accruals and reporting
  • Communicate deadlines and requirements to ensure timely close inputs
Qualifications
  • Bachelor's degree in Accounting, Finance, or related field
  • 4+ years of progressive accounting experience with hands-on month-end close responsibility
  • Strong understanding of accrual accounting and close processes
  • Experience managing or contributing to fast-paced close cycles
  • Proficiency with ERP systems (SAP preferred)
  • Advanced Excel skills
  • CPA or CPA-track preferred
Preferred Skills
  • Experience reducing close timelines and improving efficiency
  • Strong reconciliation and variance analysis skills
  • Ability to work under tight deadlines with high accuracy
  • Excellent communication and organizational skills
  • Process improvement mindset with attention to detail
What Success Looks Like
  • Month-end close completed on time with accurate, fully supported financials and no material post-close adjustments
  • Clean, well-documented reconciliations
  • Improved close efficiency over time
  • Strong cross-functional collaboration
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