Staff Accountant/CAS Associate

gpac

Indianapolis (IN)

On-site

USD 55,000 - 75,000

Full time

12 days ago
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Job summary

GPAC is assisting a firm in Indianapolis with their search to add a Staff Accountant/CAS Associate to their team. This is a hands-on bookkeeping/accounting role within their FP&A/Business Advisory Services team.

This person will execute recurring accounting work for multiple business clients and own the day-to-day delivery of a small portfolio of Accounting Basics clients. 2+ years of relevant experience and the ability to work independently on Day 1 are preferred.

Qualifications

  • 2+ years of experience in bookkeeping, Client Accounting Services, outsourced accounting, or multi-client environments.
  • Hands-on experience recording and categorizing transactions and completing bank and credit card reconciliations.
  • Knowledge of journal entries, financial statements, and month-end accounting processes.
  • Ability to independently perform foundational bookkeeping and reconciliation work from Day 1.

Responsibilities

  • Execute recurring accounting work for multiple business clients.
  • Own the day-to-day delivery of a small portfolio of Accounting Basics clients.

Skills

Bookkeeping
Client accounting
Bank reconciliations
Journal entries
Month-end close

Job description

GPAC is assisting a firm in Indianapolis with their search to add a Staff Accountant/CAS Associate to their team. This ia agreat opportunity to join a growing firm.

Here’s what they are looking for:

Staff Accountant/CAS Associate – This is a hands-on bookkeeping/accounting role within their FP&A/Business Advisory Services team. This person will execute recurring accounting work for multiple business clients and own the day-to-day delivery of a small portfolio of Accounting Basics clients.

  • 2+ years of relevant experience in bookkeeping, Client Accounting Services, outsourced accounting, public accounting, or another multi-client accounting environment.
  • Hands-on experience recording and categorizing transactions and completing bank and credit card reconciliations
  • Working knowledge of journal entries, financial statements, and month-end accounting processes
  • Candidates must already be able to independently perform foundational bookkeeping and reconciliation work on Day 1.

K22B

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