Accountant for a large manufacturing company - Miami, United States - Best Candidates LLC

    Best Candidates LLC
    Best Candidates LLC Miami, United States

    2 weeks ago

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    Description

    Job Description

    Job DescriptionJob description

    we are looking

    SENIOR ACCOUNTANT

    Inventory invoices
    Record material invoices and attach PO and/or item receipts to bills, apply landed cost when necessary.

    Operational invoices

    Book all expense related invoices from non inventory vendors. Reoccurring monthly expenses, and additional expenditures accrued during the month Invoice Image recording Daily Save all incoming invoices for all vendors both inventory and non inventory in the global folder under the US financial drive within the corresponding month

    Vendor account reconciliation

    Review, verify and reconcile vendor statements recognize discrepancies and request information from vendor to solve any issues with the balances by contacting the vendor.

    American Express receipts

    Collect and log all incoming receipts from card holders for amex

    American Exp Synaptic

    Check and ensure weekly reconciliation report matches QB payment submission

    American Express cardholders

    Distribution of transactions to each individual card holder; Obtain Approval from each card holder for each verified transactions, follow up with any missing paperwork or discrepancies.

    Payment Selection

    Prepare invoice payment selection through the QB A/P Module for both American Express and HSBC Prepare spreadsheet, and add PDF copy of the selected invoices through email for submission to designated employee

    Payments Bookings

    Apply all submitted payments in QB to the invoices paid with the correct form of payment (HSBC, Amex, Paypal),

    Payment Notification

    Notify vendors such as of payment submission through email with invoices paid, amounts and any credits used

    Inventory Offset Account

    Pull Inventory Offset GL account and ensure that all item receipts are recorded so that incoming material invoices can be booked and clear the account. If an invoice is received and no item receipt isin the system, follow up with (TBD) to inquire why the item receipt is missing.

    Shipping Invoices

    Check all 3 accounts for outbound shipping Fedex, Landmark, DHL , book in QB and apply any payments.

    General Filing File all paperwork cleared and booked. Inventory paperwork ( Item receipts, Adjustments) Payroll submission (Spreadsheets) Vendor Bills (Paid)

    Communication with Vendors

    Communicate with Vendors ( email and/or Phone) to discuss topics such as balance, credits, missing invoices, discrepancies and other A/P related topics. Contact designated employee for invoice vs materials discrepancies so he can contact the vendor about the problem

    Aging Summary Report

    Review aging for discrepancies and then meet with Finance manager to discuss highlighted accounts of the report. Third Party Invoices Weekly Coordinate with HR for a list of active temp agencies, then ensure all invoices are received, booked, and paid within the terms on time.

    Software Dvelop

    Fullfill the roll in the system TBD (software for invoice authorization)

    Bank Reconciliations As needed

    Bank accounts reconciliation in QB

    Supporting Schedules Monthly

    Financial statements supporting schedules

    Fixed Assets Update and maintain Fixed Assets schedules

    Journal Entries As needed

    Generate and record Journal Entries in QB

    End of month

    General support for the end of month process.

    Key accounts analysis / recon

    Account analysis /reconciliation (Ex Security Deposits, Payroll Liabilities, Payroll Tax Liabilities, Accrual for Payroll)

    Revenue Recording

    Access the Business Intelligence online site and download , organize and check all the revenues and AR data

    Merchant Accounts reconciliation

    Reconcile the Merchant accounts balances (Braintree, Adyen, Amazon, Paypal and Groupon )

    Intercompany accounts reconciliation

    Exchange intercompany balances with all the other companies in the group and make the necessary adjustments to match the balances

    Recording of Merchant Fees

    Download reports from Adyen, Amazon, Amex, Braintree , Paypal and record the monthly fees, reconciliation and analysis

    BILINGUAL ENGLISH /SPANISH

    MUST KNOW QUICKBOOK

    MUST KNOW EXCEL

    ACCOUNTING DEGREE

    YOU MUST BE LEGAL TO WORK IN USA

    Job Type: Full-time

    Salary: $64, $68,000.00 per year

    Schedule:

    • 8 hour shift

    Work Location: In person