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Accountant

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Veolia

2024-11-08 16:39:40

Job location Flanders, New Jersey, United States

Job type: fulltime

Job industry: Accounting

Job description

Job Description

Targeted Annual Pay Range: Minimum of $80000 to a maximum of $90000

BENEFITS

Veolia's comprehensive benefits package includes paid time off policies, as well as health, dental and vision insurance. In addition, employees are also entitled to participate in an employer sponsored 401(k) plan, to save for retirement. Pay and benefits for employees represented by a union are outlined in their collective bargaining agreement.

Position Purpose:

Performs professional accounting duties and analysis of financial data in support of various accounting functions that may include Accounts Receivable, Accounts Payable, Payroll, Cost Accounting, Property Accounting, and/or General Accounting.

Primary Duties/responsibilities:

Assists Controller with month-end close entries.

Assist Controller with year-end external audit and supplemental schedules.

Prepares income and balance sheet statements, consolidated statements and various other accounting statements and reports.

Reconciles and analyzes assigned accounts. Analyzes the effects of transactions, identifies, evaluates and recommends alternative means of accounting treatment.

Assists with the implementation of accounting systems, methods, procedures and controls. Ensures the integrity of the data in the accounting system and ensures that system documentation and backup is in place.

Perform fixed asset accounting ensuring accurate site codes, cost centers, asset lives, etc. and prepares summary of spending.

Reviews inter-company billing and reconciliation. Monitors intercompany account balances and reduces negative working capital impact of inter-company accounts.

Identifies and reports situations not in compliance with company internal controls and recommends improvements to the accounting process to optimize internal control.

Assist in preparation of annual budgets by gathering pertinent information and rolling up data to verify allocation of cash balances, earnings, income, etc.

Assist lower level accounting personnel regarding training, handling of specific accounts, resolving problem issues, reviewing reports, etc.

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