Staff Accountant

Coda Search│Staffing

New York (NY)

On-site

USD 65,000 - 85,000

Full time

14 days+
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Job summary

A sports media company is seeking a Staff Accountant to support the Accounting Department in producing timely and accurate financial reporting.

You will assist with bank activity recording, month-end reconciliations, payroll and benefits coding, and balance sheet reconciliations. You’ll participate in month-end close and collaborate with teams to deliver reliable financial insights.

Attention to detail and ability to work in a fast-paced environment are essential.

Qualifications

  • Assist accounting department in month-end close and reconciliations.
  • Record bank activity and reclassifications; ensure timely reporting.
  • Manage bank accounts and KYC requirements.
  • Payroll reconciliation including reclassifying bonuses and severance.
  • Employee benefit coding aligned with budget.
  • Process audit requests related to compensation GL reconciliation.
  • Collaborate on bank reconciliations and reporting.

Job description

A sports media company is looking to hire a Staff Accountant

Responsible for assisting the Accounting Department in their efforts to accomplish the Company's goals and objectives by providing accounting support. This includes preparation and recording of various bank activity, month-end reconciliations, recording accounting reclassifications and any other financial, clerical and/or administrative services needed to ensure efficient, timely and accurate reporting

  • Manage bank accounts globally including managing users and KYC requirements
  • Manage bank remote capture users and check scanners as needed by office
  • Manage payroll by person reconciliation including reclassifying bonus, severance and payroll allocations according to budget
  • Manage employee benefit coding in accordance with our budget and as it pertains to termed employees' special circumstances
  • Actively participates in month-end close processes, managing Accrued Compensation and Accrued Benefit balance sheet reconciliation
  • sManaging Audit requests related to compensation GL reconciliation
  • Work with bank staff to review all monthly bank reconciliations and providing appropriate detail level review and analysis
  • Ensures accurate and timely reporting, and undertakes special projects as requested
  • Contribute to a team effort by accomplishing related results as needed
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