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Senior Financial Accountant in Los Alamitos, CA at Vaco

Date Posted: 11/13/2018

Job Snapshot

  • Employee Type:
  • Job Type:
  • Experience:
    At least 5 year(s)
  • Date Posted:
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Job Description

Accounting professionals, advance your career with some of the nation's top companies. Let Vaco serve as your advocate in presenting you to clients who are looking for Senior Financial Accountants. Our recruiting staff gives you an advantage over your competition by promoting your strengths and assets directly to hiring managers while helping you to be more prepared for your interviews.

From keeping you up to date on market trends and industry expectations, to providing you with valuable insight into the company's culture, compensation expectations and growth opportunities of specific clients, Vaco will give you the edge you need in today's highly competitive job marketplace. If you have a strong background in corporate accounting and are ready to take your career to the next level, let Vaco help you to make it happen. Apply today!

As a Senior Financial Accountant, you will prepare monthly financial statements, supporting schedules and journal entries, ensuring that all reconcile with the general ledger

Your areas of responsibility in this role will generally include:

  • Responsible for fixed asset accounting and maintain the fixed asset records.
  • Reconcile cash and bank accounts.
  • Process monthly close for circulation and advertising system.
  • Responsible for all inventory accounting and comparison with prior periods and budgets.
  • Prepare Product Profit & Loss analysis as needed.
  • Participate in the preparation of the annual budget for all business units.
  • Prepare quarterly and annual tax returns including Property, sales and excise tax forms.
  • Record all revenue accounting activities to ensure that revenues and receivables are accurately reported, invoiced, and presented in prevailing accounting pronouncements.
  • Reconcile revenue issues including but not limited to reclassifications and adjustments.
  • Responsible for reconciling the sub-ledger and the general ledger and handling revenue and cost of sale analysis and calculations.
  • Research and resolving billing discrepancies.
  • Responsible for 1099 research and resolution.
  • Backup Account Payable and Receivable desks.
  • Preparation of month end and quarterly financial statements