Accountant

3 weeks ago


Allentown, United States Robert Half Full time
Job DescriptionJob DescriptionWe are offering a long-term contract employment opportunity for an Accountant in Allentown, Pennsylvania. In this role, you will be responsible for managing various accounting tasks, including bank reconciliations, journal entries, and filing. You will also be tasked with resolving differences in financial records and ensuring accounting functions are performed accurately and efficiently.

Responsibilities:
• Conduct bank reconciliations to ensure financial records are accurate
• Prepare and manage journal entries to keep track of all financial transactions
• Handle filing tasks to maintain organized and up-to-date records
• Investigate and resolve any discrepancies found in the bank reconciliations
• Utilize accounting software systems to streamline financial tasks and processes
• Manage accounts payable and accounts receivable to ensure all transactions are processed in a timely manner
• Perform balance sheet account auditing to ensure financial integrity
• Use Enterprise Resource Planning (ERP) tools to optimize business processes
• Operate ADP - Financial Services to manage payroll and benefits
• Utilize Concur for expense management and reporting.• Proficiency in Accounting Software Systems is essential for managing financial data.
• Familiarity with ADP - Financial Services is required to handle payroll and other financial processes.
• Strong knowledge in Cl Programming is needed to automate tasks and improve efficiency.
• Experience in using Concur for travel and expense management is a must.
• Proficiency in ERP - Enterprise Resource Planning systems is needed for managing and integrating the business processes.
• Comprehensive understanding of Accounting Functions is necessary to ensure accurate financial reporting.
• Mastery in handling Accounts Payable (AP) to manage the company's bills and payments.
• Expertise in Accounts Receivable (AR) is essential for managing incoming payments.
• Auditing skills are required to examine the organization's financial records for accuracy.
• Ability to manage Balance Sheet Accounts to ensure financial stability and compliance.
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