Location
Riverside
Job Type
Full-time
Posted
June 18, 2026
Job Description
Description
- Preparation of journal entries with supporting documentation - Preparation and maintenance of excel spreadsheets for account analysis and reporting - Responsible for cash reconciliation - Responsible for all company inventory reconciliations - Capitalization and depreciation of fixed assets - Collects appropriate data to prepare sales tax returns, 1099s and other informational and/or compliance reporting - Be able to work independently - Support financial operations by performing complex accounting services related to preparing, analyzing, maintaining and reviewing various financial statements, records and reports - Other duties as assigned
Skills
Accounting, General ledger, Month end, Journal entry, reconciliations
Top Skills Details
Accounting,General ledger,Month end,Journal entry,reconciliations
Additional Skills & Qualifications
- Fixed Assets - Sales Tax
Experience Level
Intermediate Level
- Preparation of journal entries with supporting documentation - Preparation and maintenance of excel spreadsheets for account analysis and reporting - Responsible for cash reconciliation - Responsible for all company inventory reconciliations - Capitalization and depreciation of fixed assets - Collects appropriate data to prepare sales tax returns, 1099s and other informational and/or compliance reporting - Be able to work independently - Support financial operations by performing complex accounting services related to preparing, analyzing, maintaining and reviewing various financial statements, records and reports - Other duties as assigned
Skills
Accounting, General ledger, Month end, Journal entry, reconciliations
Top Skills Details
Accounting,General ledger,Month end,Journal entry,reconciliations
Additional Skills & Qualifications
- Fixed Assets - Sales Tax
Experience Level
Intermediate Level