Staff Accountant - Solar Portfolio & Multi-Entity Close

SunStrong Management

Houston (TX)

On-site

USD 60,000 - 85,000

Full time

39 hours ago
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Benefits offered by this job

Health & wellness benefits
401(k) with match

Job summary

SunStrong Management is seeking a Staff Accountant to support the accounting for its solar portfolios, including cost accounting of solar systems and revenue treatment of systems sold to customers or home builders.

The role manages month-end close tasks, posts journal entries, completes reconciliations across multiple entities, and handles large data sets across several systems, while supporting audit requests and cost analysis with the Operations team.

Qualifications

  • 3+ years' accounting experience including month-end close and reconciliations.
  • Undergraduate degree with an accounting concentration.
  • Experience handling large data sets in Excel and an ERP environment.

Responsibilities

  • Handle day-to-day cash activity across multiple bank accounts and entities.
  • Manage AR/AP activity including aging reconciliations and past-due items.
  • Maintain fixed asset records and monthly depreciation for solar assets.
  • Own month-end and quarter-end close tasks per the published calendar.
  • Prepare, review, and post journal entries with supporting documentation.
  • Prepare balance sheet reconciliations and clear aged items.
  • Process large transaction data sets across multiple systems.
  • Build Excel workpapers for high-volume multi-entity reconciliation.
  • Prepare monthly and quarterly financial statements and schedules.
  • Assist with project cost accounting and PO matching.

Skills

Accounting
Excel
ERP systems
Data analysis

Education

Bachelor's degree in accounting

Tools

Microsoft Dynamics
Sage Intacct
SQL
Power Query

Job description

SunStrong Management is seeking a Staff Accountant to support the accounting for its solar portfolios, including cost accounting of solar systems and revenue treatment of systems sold to customers or home builders.

The role manages month-end close tasks, posts journal entries, completes reconciliations across multiple entities, and handles large data sets across several systems, while supporting audit requests and cost analysis with the Operations team.

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