Staff Accountant - Construction & Financial Reporting

EMCOR Group

Northern (KY)

Hybrid

USD 55,000 - 75,000

Full time

14 days+
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Job summary

MOR PPM Inc. in Society Hill, SC is seeking a Staff Accountant who supports accounting data integrity and financial reporting by recording and verifying general ledger transactions.

The role works closely with the Controller and Assistant Controller to ensure accurate monthly results. Key duties include month-end close, reconciliations, fixed asset ledgers, tax and financial reporting, cash receipts, expense reviews, receivables monitoring, and assisting with audits and financial analysis to

Qualifications

  • Bachelor’s degree in accounting, finance, or related field required.
  • Minimum 3–5 years’ experience in accounting/finance, preferably in construction.
  • Strong knowledge of GAAP and financial reporting.
  • Proficiency with MS Word, Excel, Outlook, and databases.

Responsibilities

  • Assist in monthly financial statement preparation and closing journal entries.
  • Perform month-end reconciliations for general ledger accounts.
  • Maintain fixed asset ledgers for owned and leased assets.
  • Support monthly, quarterly, and annual financial reporting to the parent company.
  • Assist with monthly, quarterly, and annual tax reporting.
  • Prepare daily cash receipts deposits and review expense reports.
  • Monitor outstanding receivables and research delinquencies with related teams.
  • Support audits and coordination of financial statement reviews.
  • Analyze financial data to support management decisions.

Skills

Attention to detail
Communication
Independent work
Team collaboration
GAAP knowledge
Excel proficiency
Data analysis

Education

Bachelor’s degree in accounting, finance, or related field

Tools

MS Word
Excel
Outlook
Database management

Job description

MOR PPM Inc. in Society Hill, SC is seeking a Staff Accountant who supports accounting data integrity and financial reporting by recording and verifying general ledger transactions.

The role works closely with the Controller and Assistant Controller to ensure accurate monthly results. Key duties include month-end close, reconciliations, fixed asset ledgers, tax and financial reporting, cash receipts, expense reviews, receivables monitoring, and assisting with audits and financial analysis to

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