Job Details

Accountant

  2026-03-31     Momentum Search     Fargo,ND  
Description:

The Accountant is responsible for maintaining the general ledgers for parent and subsidiary entities, processing accounts payable & accounts receivable, preparing monthly bank reconciliations, reconciling general ledger accounts, and compiling monthly financial statements.

Accounts Payable Process
• Post invoices within NetSuite accounting software to the proper entities and accounts.
• Generate vendor payments on a weekly basis.
• Maintain processes and systems to organize and store supplemental financial data.

Accounts Receivable Process
• Generate invoices within NetSuite.
• Receive payments and make bank deposits.
• Record receivable collections in NetSuite.

Bank Reconciliations
• Monthly reconciliation of cash accounts within NetSuite.

General Ledger Reconciliations
• Import/journalize monthly entries for properties and post other adjusting entries as needed.
• Reconcile general ledger accounts, including prepaid expenses, accounts receivable, accounts payable, and long-term debt.
• Update fixed asset software and reconcile to NetSuite.


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