The Staff Accountant is responsible for accounting, reporting, and reconciliation of cash accounts, as well as certain treasury and other operating tasks.
Requirements
- Prepare journal entries to record cash and other transactions in the general ledger
- Prepare bank reconciliations and other balance sheet account reconciliations
- Assist in preparing monthly cash flow reports by entity/division
- Monitor Third-Party Administrator (TPA) accounts
- Assist in monitoring, reconciling, and settling intercompany balances
- Assist in compiling and preparing various reports
- Complete reporting of certain cash transactions including working with accounts receivable on cash application entries
- Participate in quarterly STAT reporting preparation
- Support internal and external audit requests
- Maintain procedural documentation for assigned responsibilities
- Provide support to the VP Accounting and Manager- Accounting
Benefits
- Medical, dental, vision, and life insurances
- Short and long-term disability
- 401(k) plan with 100% company match
- Employee Assistance Plan
- Health Savings Account
- Flexible Spending Account
- Health Reimbursement Account
- Wellness program