General Ledger Accountant II at Associa Canada
Richardson, Texas, United States -
Full Time


Start Date

Immediate

Expiry Date

06 Jun, 26

Salary

0.0

Posted On

08 Mar, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Month-End Closing, Financial Statement Preparation, Bank Reconciliations, Balance Sheet Reconciliations, Accruals, Amortization, Adjustments, Reclassifications, Budget Development, Year-End Close, Issue Resolution, General Ledger Accounting, A/P Transaction Process, A/R Transaction Process, Microsoft Excel, Communication Skills

Industry

Real Estate

Description
With more than 225 branch offices across North America, Associa is building the future of community for nearly five million residents worldwide. Our 11,000+ team members lead the industry with unrivaled education, expertise, and trailblazing innovation. For more than 43 years, Associa has brought positive impact and meaningful value to communities. To learn more, visit www.associaonline.com. Job Description General Ledger Accountant II is a mid-level accounting position responsible for month-end closing and financial statement preparation for multiple entities (Non-Profit Corporations) with a moderate level of complexity. This is an accounting support position in a fast-paced centralized accounting services environment providing financial services to community associations throughout North America. Candidates for this position must meet Associa’s credit requirements. Job Responsibilities: Month-end closing and financial statement preparation for multiple entities (Non-Profit Corporations) with varying attributes. Process and review monthly bank and balance sheet reconciliations. Develop and enter accruals, amortization, adjustments, and reclassifications. Budget development assistance and administration. Perform Year-End close. Support community Association Managers (CAM)and Branch Financial Accounting Support Person (FASP), and Association Board of Directors (BOD) as requested. Work with supporting departments (Accounts Receivable (A/R), Accounts Payable (A/P), Data Management, Delinquency, Tax and Banking Team) on issue resolution. Occasional work on weekends may be required. Other duties as assigned. Requirements Knowledge and Skills Ability to interpret and apply industry-related law. Experienced in general ledger accounting. Understanding of A/P transaction process. Understanding of A/R transaction process. Able to manage multiple entities, meet tight deadlines with accuracy and attention to detail. Experienced in month-end close process. Experienced in bank and balance sheet reconciliations. Experienced in budget development and implementation. Microsoft Office , Excel. Good written and verbal communication skills. Complete Control for Communities (C3) software, preferred but not required. Understanding of, or experience in, the Community Association Management Industry, preferred but not required. Experience working in an Accounting Shared Services Center environment, preferred but not required. Education and Experience Associates Degree in Accounting or equivalent work experience (4 years progressive responsibility) and 2years, full cycle, General Ledgeraccounting experience OR Bachelor’s Degree in Accounting and 1 year full cycle general ledger accounting experience. Knowledge of Generally Accepted Accounting Principles (GAAP) and Association of Certified Public Accountants (AICPA) guidelines We are an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity or expression, pregnancy, age, national origin, disability status, genetic information, protected veteran status, or any other characteristic protected by law.

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Responsibilities
This mid-level accounting role is responsible for performing month-end closing and preparing financial statements for multiple, moderately complex Non-Profit Corporations. Key duties include processing reconciliations, developing accruals and adjustments, assisting with budget administration, and performing the year-end close.
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