#1017 STAFF ACCOUNTANT

  • Full Time
  • Day
  • Salary Guide: $25,000 - $50,000

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FLORIDA FARM BUREAU

This position is a support staff for the accounting department and works closely with the Director of Finance, Controller and Accountant County Servic... Role: Staff Accountant, Category: Accountancy, Size: n/a

#1017 STAFF ACCOUNTANT: FLORIDA FARM BUREAU

This position is a support staff for the accounting department and works closely with the Director of Finance, Controller and Accountant County Services. The purpose of this position is to support on all financial affairs including reviewing interim financial statements for county Farm Bureaus, maintaining the organizations overall accounting systems, procedures, and policies. Willingness to travel within the state by auto and occasional out-of-state air travel for a day and/or overnight events. Willingness to work nights and weekends to meet business needs.

Position: #1017 Staff Accountant
Location: Day
Hours: Full Time
Salary Guide: $25,000 – $50,000
Last Updated: 21 November 2022
Job Category: Accountancy

Staff Accountant Role:

Maintain and update accounting records and files. Analyze budgets and create expense reports. Examine tax policies and handle tax payments and returns. Meet with clients to discuss confidential accounting issues. Post transactions and categorize records in the general ledger (e.g. by assets, liabilities and expenses). Reconcile bank statements. Analyze transactions with internal and external stakeholders. Conduct month-end and year-end closures. Prepare documents for audits. Advise clients on financial issues via email or phone. Apply new accounting policies and ensure compliance with rules and regulations. Report to the Accounting Manager and work to improve financial processes.

Other Duties:

  • Maintain and update accounting records and files
  • Analyze budgets and create expense reports
  • Examine tax policies and handle tax payments and returns
  • Meet with clients to discuss confidential accounting issues
  • Post transactions and categorize records in the general ledger (e.g. by assets, liabilities and expenses)
  • Reconcile bank statements
  • Analyze transactions with internal and external stakeholders
  • Conduct month-end and year-end closures
  • Prepare documents for audits
  • Advise clients on financial issues via email or phone
  • Apply new accounting policies and ensure compliance with rules and regulations
  • Report to the Accounting Manager and work to improve financial processes



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