Job Title : Staff Accountant
Location : Newark, NJ 07102
Duration : 6 months with potential to extend or hire
Position Type : Hourly contract Position (W2 only)
Hybrid Schedule - (IN OFFICE TUE & WED)
HOURS PER WEEK : 35
Top 3 Skills : 1 - SAP knowledge
2. Basic accounting (P&L, Balance Sheets)
3. Variance Analysis
Basic Function :
- The staff accountant has primary responsibility for financial accounting and financial reporting, including profit and loss statement and balance sheet management. This role is responsible for coordinating and performing account analysis and reconciliations. Additional responsibilities include : accounts payable, projects, and maintenance of internal controls including J-SOX compliance and other audit requests as necessary.
Additional Job Details :
Controls and Compliance :
Ensure full compliance with accounting policies and procedures, internal controls, and JSOX requirement including assisting with annual KPMG internal audit.Ensure protection of company assets in all areas through front line knowledge and experienceInvestigate, resolve or report to the accounting manager any inconsistencies or improprietiesOthers :
Assist with bank forms and various vendor forms per request. Assist with other duties as needed.Education and Experience :
Bachelor's Degree in Accounting required. Minimum of 2 years cumulative accounting experience.Advance Excel, MS Office Suite.SAP is strongly preferred.Additional Job Description
Bookkeeping and Financial Data Management :
Prepare and post journal entries including accrualsProcess vendor invoices in both Ariba and SAP as well as working with DSC (Digital Solutions Center) and HQ A / P team in all aspects of Procure to Pay processIssue non-trade invoices and process incoming invoices with other affiliated client as well as process various intercompany transactions.Prepaid expense amortization and other adjusting entriesRecord rep commissions and submit for paymentAudit weekly expense reports for Canada team and monthly random samples of US & Panamex team to ensure compliance with policyReconcile assigned balance sheet accountsMaintain accurate account and data reconciliation including supporting sub-ledgers, journals, and other financial documentation within a cost-efficient operationSupport cash management function in forecasting, journalizing and / or reconciling cash activitiesMaintain deferred revenue and work with Service / Sales groups to recognize timelyAssist with warehouse physical inventories including auditing monthly parts cycle countsFinancial Analysis and Reporting :
Perform assigned account analysis on a monthly basis. Identify and research account discrepanciesReview assigned general ledger accounts and correct journal entriesAssist business partner or general accounting manager in performing monthly balance sheet, income statement and changes in financial position / budget variance analysisProduce financial data to complete various tax packages throughout the yearMonthly and quarterly reporting in VEGA and WING systems