THE TEAM YOU WILL BE JOINING:
- PE-backed consumer services company with over 100+ locations and counting across the Southeast
- Incredible C-Suite fostering a cohesive, results-driven culture
- Making their mark by creating best-in-class service and experience as they rapidly expand
- Executive visibility, autonomy, and empowerment to do it what it takes to "make it happen"
- Exposure to PE, Board, and other C-Suite providing upward mobility opportunities and professional development learning from a proven exec team
- Competitive compensation and opportunity to work with a world-class leadership team
- In this position, you will be responsible for reconciling transactions daily. This includes reconciling cash accounts.
- Process general journal entries and complete monthly bank reconciliations, as well as other balance sheet reconciliations.
- Assists in managing the monthly, quarterly, and yearly close process
- Assist with ad-hoc requests
- 2+ years of accounting experience required
- Bachelor’s degree in accounting or finance is a must
- Experience with cash reconciliation is preferred
- Advanced knowledge of Microsoft Excel
- Experience with NetSuite ERP (or other large ERP like SAP, Oracle, Sage, etc.)