Accountant Jobs
By Lake Ridge Bank At Verona, WI, United States
Strong working knowledge of Microsoft Office Suite, proficient typing/keyboarding skills.
Manage the year-end 1099 reporting process for vendors.
Learn additional responsibilities to be a backup for various accounting functions in the absence of team members.
Knowledge of Financial Institutions industry is preferred
Excellent interpersonal and communication skills.
Demonstrated problem solving skills with the ability to make good decisions and exercise independent judgment.
Accountant Jobs
By KSI Inc At Plymouth, WI, United States

Bachelor or Associate degree in accounting

Accountant Jobs
By Esker U.S. At Middleton, WI, United States
Manage and review commission calculations and reports/resolves discrepancies with senior management
Manage accounts receivable and/or accounts payable aging and reporting
Bachelor degree in Accounting or similar OR equivalent years of experience in lieu of degree
2+ years of related experience
Extensive computer experience including Windows, general ledger systems, spreadsheets and word processing
Perform various monthly general ledger reconciliations and related journal entries
Accountant Jobs
By LHH At New Berlin, WI, United States
Work closely with the Finance and Accounting team to understand and ensure accuracy of all financial reporting activity
Bachelor's degree or equivalent in Accounting, Economics, or Finance
0 - 2 years' experience in accounting
Assist in preparation and distribution of financial statements
Prepare financial statements and supporting schedules according to monthly close schedule
Entry level Staff Accountant opportunity with New Berlin professional services organization.

Are you looking for an exciting opportunity to join a dynamic team of Disbursements Accountants? We are looking for a motivated individual to join our team and help us manage our financial disbursements. You will be responsible for ensuring accurate and timely payments to vendors, reconciling accounts, and providing financial reporting. If you have a passion for accounting and are looking for a challenging and rewarding career, then this is the job for you!

Overview A Disbursements Accountant is responsible for managing the disbursement of funds from an organization. This includes ensuring that all payments are made in a timely manner and that all financial records are accurate and up to date. The Disbursements Accountant is also responsible for reconciling accounts, preparing financial statements, and providing financial advice to management. Detailed Job Description The Disbursements Accountant is responsible for managing the disbursement of funds from an organization. This includes ensuring that all payments are made in a timely manner and that all financial records are accurate and up to date. The Disbursements Accountant is also responsible for reconciling accounts, preparing financial statements, and providing financial advice to management. The Disbursements Accountant will also be responsible for preparing and filing all necessary tax forms, as well as ensuring that all financial records are in compliance with applicable laws and regulations. Job Skills Required
• Strong knowledge of accounting principles and practices
• Excellent organizational and problem-solving skills
• Ability to work independently and as part of a team
• Excellent communication and interpersonal skills
• Proficiency in Microsoft Office Suite
• Knowledge of financial software applications
Job Qualifications
• Bachelor’s degree in Accounting or related field
• CPA or CMA certification preferred
• At least 5 years of experience in accounting or related field
Job Knowledge
• Knowledge of Generally Accepted Accounting Principles (GAAP)
• Knowledge of financial software applications
• Knowledge of tax laws and regulations
Job Experience
• At least 5 years of experience in accounting or related field
• Experience in preparing and filing tax forms
• Experience in reconciling accounts
Job Responsibilities
• Manage the disbursement of funds from an organization
• Ensure that all payments are made in a timely manner
• Reconcile accounts and prepare financial statements
• Prepare and file all necessary tax forms
• Ensure that all financial records are in compliance with applicable laws and regulations
• Provide financial advice to management
• Monitor financial performance and identify areas of improvement