Staff Accountant — GAAP & Month-End Analytics

PENN Entertainment, Inc

Wyomissing (Berks County)

On-site

USD 30,000 - 34,000

Full time

10 days ago
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Job summary

PENN Entertainment, Inc is seeking an accounting professional to assist in the preparation of property financial statements in a centralized environment. The role involves maintaining GAAP-compliant records and performing detailed month-end reconciliations for complex accounts.

The candidate will analyze variances, initiate month-end entries, and ensure accuracy of adjusting entries, payroll, and banking reconciliations while upholding regulatory compliance.

Qualifications

  • Associate's Degree or equivalent experience.
  • Excellent communication skills (verbal & written).
  • Ability to interact with guests, staff and colleagues and resolve conflicts.
  • Ability to present information to groups of managers and guests.
  • Strong analytical and problem-solving skills.

Responsibilities

  • Assist in accurate and timely preparation of property financial statements.
  • Maintain accounting records per GAAP and company policy.
  • Complete month-end reconciliations for complex trial balance accounts.
  • Prepare monthly analyses of trial balance accounts.
  • Research variances to budget and movements in the trial balance.
  • Initiate month-end journal entries and ensure adjusting entries are valid.
  • Monitor payroll and benefit-related accounts monthly.
  • Monitor marketing accrual accounting and banking/credit card entries.

Skills

Excellent communication
Microsoft Office
Analytical skills
Problem solving
Detail oriented
Multitasking
Independent work

Education

AA degree or equivalent

Tools

Excel
Word
Outlook

Job description

PENN Entertainment, Inc is seeking an accounting professional to assist in the preparation of property financial statements in a centralized environment. The role involves maintaining GAAP-compliant records and performing detailed month-end reconciliations for complex accounts.

The candidate will analyze variances, initiate month-end entries, and ensure accuracy of adjusting entries, payroll, and banking reconciliations while upholding regulatory compliance.

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