Senior Accountant — Hybrid, Full‑Cycle & Insights

Talentify

Gainesville (VA)

On-site

USD 62,000 - 65,000

Full time

12 days ago
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Benefits offered by this job

Medical, dental & vision
401(k) Retirement Plan
Life Insurance
Short and long-term disability
HSA
Transportation benefits
Employee Assistance Program
PTO / Vacation

Job summary

Aston Carter currently seeks an Accountant for a Gainesville, VA-based full-cycle accounting role. The position starts fully onsite with a six-month path to a hybrid schedule, involving close collaboration with internal teams, clients, and vendors to ensure accurate financial reporting.

Responsibilities include invoicing, AP, reconciliations, journal entries, and audit support, backed by strong Excel and accounting software skills.

Qualifications

  • Accounting degree required and 4 years of accounting experience, or 8+ years in accounting.
  • Proficient in full-cycle accounting and general ledger management.
  • Advanced Excel and accounting software proficiency.

Responsibilities

  • Generate, verify, and distribute weekly and monthly invoices.
  • Manage accounts payable processes and reconcile vendor invoices.
  • Perform monthly account reconciliations for bank, credit card, and balance sheet accounts.
  • Oversee cash posting and apply customer payments to accounts receivable.
  • Prepare and post month-end journal entries and maintain general ledger.
  • Provide audit support with schedules and reconciliations for reviews.
  • Collaborate with stakeholders to improve reporting processes.

Skills

Full-cycle accounting
Excel
General ledger management
Month-end close
Audit support
Analytical skills
Communication skills
Attention to detail

Education

Accounting degree

Tools

Excel
Accounting software

Job description

Aston Carter currently seeks an Accountant for a Gainesville, VA-based full-cycle accounting role. The position starts fully onsite with a six-month path to a hybrid schedule, involving close collaboration with internal teams, clients, and vendors to ensure accurate financial reporting.

Responsibilities include invoicing, AP, reconciliations, journal entries, and audit support, backed by strong Excel and accounting software skills.

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