Senior Accountant – NetSuite & Inventory Focus

Unusual Machines

Orlando (FL)

On-site

USD 85,000 - 95,000

Full time

11 days ago
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Benefits offered by this job

Equity participation
Medical, Dental, and Vision Benefits
401(k)
Unlimited PTO
Paid Holidays
Daily Catered Lunches

Job summary

Unusual Machines, a U.S.-based drone manufacturer, is seeking an Accountant to support the Corporate Controller and broader Accounting and Finance team in maintaining accurate financial records and a timely monthly close.

This hands-on role covers general ledger, reconciliations, inventory, intercompany activity, fixed assets, prepaids, accruals, audit support, and NetSuite, working with cross-functional teams to ensure proper documentation and accurate source transactions.

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field.
  • Strong Excel and data-analysis skills.
  • Clear written and verbal communication skills.

Responsibilities

  • Support monthly, quarterly, and annual close, including journal entries and reconciliations.
  • Own assigned balance-sheet reconciliations and investigate reconciling items.
  • Maintain accounting records for cash, AP, AR, prepaids, fixed assets, leases, intercompany, inventory, and other accounts.
  • Support inventory-to-GL reconciliations and investigate differences between physical inventory and systems (NetSuite).
  • Assist the Cost Accountant with inventory adjustments and manufacturing-related reconciliations.
  • Prepare recurring and nonrecurring journal entries with audit-ready support.
  • Support intercompany accounting and reconciliation across UMAC entities.
  • Assist with fixed-asset additions, disposals, depreciation, and CIP.
  • Support external audit requests and maintain supporting documentation.

Skills

Excel
Data analysis
Communication skills

Education

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

Job description

Unusual Machines, a U.S.-based drone manufacturer, is seeking an Accountant to support the Corporate Controller and broader Accounting and Finance team in maintaining accurate financial records and a timely monthly close.

This hands-on role covers general ledger, reconciliations, inventory, intercompany activity, fixed assets, prepaids, accruals, audit support, and NetSuite, working with cross-functional teams to ensure proper documentation and accurate source transactions.

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