Accountant-General Ledger (Mid Level position at least 2 years of experience)

Company Name:
Eric Lyublinsky
Supports the company's mission, vision, core values and customer service philosophy. Adheres to the company's Compliance Program, including following all regulatory and division/company policy requirements.

Applies accounting knowledge to assist with the preparation and coordination of the month end close by ensuring financial statements are accurate and in compliance with Generally Accepted Accounting Principles (GAAP) by preparing account reconciliations. Reviewing financial reports, preparing entries and analyses, and resolving problems with appropriate financial office, corporate or facility staff. Prepare non-income tax returns, reconcile ADP payroll tax reports, and maintain lease files and summaries.

Responsible for driving the company's culture through values and customer service standards.
Accountable for outstanding customer service to all external and internal customers.
Develops and maintains effective relationships through effective and timely communication.
Takes initiative and action to respond, resolve and follow up regarding customer service issues with all customers in a timely manner.
Prepare reconciliations of balance sheet accounts, including intercompany, interdivision and inventory accounts, as required by the corporate calendar. Analyze, identify and resolve all variances on a timely basis and assure that balance accurately reflects the asset or liability based on Generally Accepted Accounting Principles (GAAP).
Analyzes financial transactions to ensure they are recorded to the appropriate general ledger accounts and makes any necessary corrections to journal entries as needed to properly reflect the financial position of the division.
Prepares reconciliations of bank accounts on a monthly basis. Resolves all general ledger variances on a timely basis and assures that stale checks are resolved timely per office procedures.
Reviews financial reports and prepares all necessary accrual entries to ensure financial statements are complete, accurate and in compliance with GAAP.
Reviews prepaid balance sheet accounts monthly and ensure that all necessary entries are complete to produce financial statements that are accurate and in compliance with GAAP.
Identifies and investigates intercompany and facility out of balance issues as needed on a monthly basis and coordinates with appropriate personnel to resolve and make any necessary corrections.
Summarizes quarterly PTO analyses and prepares monthly accrual entries to assure adequate balance sheet provision.
Reconciles discretionary fund balance sheet account monthly and notifies Director of Operations, Area managers, RVP and Controllers of debit balance accounts in a timely fashion.
Prepares non-income tax returns, ensures timely payments of tax bills and prepares accounting entries necessary to provide for timely recognition of expense.
Reconciles ADP payroll tax reports with balance sheet accounts. Analyzes and identifies tax filing problems and resolves any anomalies with ADP and payroll department, and maintains payroll tax files.
Prepares medical supplies cost per treatment entries, reviews inventory packages and resolves discrepancies with facility staff, and prepares book -to -physical adjustment entries, ensuring that medical supplies expense and inventory are reported accurately in accordance with GAAP.
Reviews Pharmacy Usage Inventory Counts and resolves discrepancies with facility staff. Records journal entries and ensures that the pharmacy expense accounts and inventory are reported accurately in accordance with GAAP.
Participates in the monthly financial statement review to ensure accuracy of reporting and compliance with GAAP.
Prepares monthly local purchase/project reconciliation as well as maintaining the fixed asset system.
Maintains knowledge of new applicable laws and regulations that apply to the accounting function and healthcare industry.
Completes special projects and other duties as assigned by management.
Other duties as assigned.
Bachelor's Degree in Accounting, Finance or Business.
Minimum of 1 - 2 years accounting experience.
Functional knowledge of spreadsheet, accounting and word processing software.
Must be detail oriented with good analytical, accuracy, and organizational skills.
Strong oral and written communication skills and the ability to work with upper management.
For immediate response please forward resumes to

Eric Lyublinsky
(Direct) 407-205-1125
(Office) 800-360-1407
For a list of our current openings please visit https://valintry.com/find-jobs

Don't Be Fooled

The fraudster will send a check to the victim who has accepted a job. The check can be for multiple reasons such as signing bonus, supplies, etc. The victim will be instructed to deposit the check and use the money for any of these reasons and then instructed to send the remaining funds to the fraudster. The check will bounce and the victim is left responsible.

More Jobs

Staff Accountant - General Ledger
Dallas, TX Enlink Midstream Partners
General Ledger Accountant
Houston, TX Calpine
Accounting Manager - General Ledger
Irving, TX 7-Eleven, Inc.
General Ledger Accountant
Dallas, TX Copart
General Ledger Reporting Manager
Dallas, TX Santander Consumer USA
General Ledger Specialist
Leander, TX Leander Independent School District