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Sr. Accountant

Robert Half

Job Description

Job Description

We are looking for an experienced Sr. Accountant to join a finance team in Parsippany, New Jersey and contribute to enterprise-wide reporting, close, and analytical activities. This position will work closely with accounting and finance leaders to support consolidated reporting, strengthen financial visibility, and deliver timely insights for decision-making. The role is well suited for an individual who combines strong technical accounting knowledge with a hands-on approach to reconciliation, reporting, and process support.

Responsibilities:
• Lead month-end close activities by preparing journal entries, reviewing general ledger activity, and helping ensure accurate and timely financial reporting.
• Contribute to consolidation and reporting processes for global operations, including the preparation of supporting schedules and analysis used by finance leadership.
• Develop, review, and maintain cash flow reporting and forecast information to improve visibility into business performance and liquidity trends.
• Analyze financial statements and operating results across multiple reporting entities, identifying variances, trends, and areas requiring follow-up.
• Maintain integrity within reporting structures and support oversight of the global chart of accounts to promote consistency in financial data.
• Complete account and bank reconciliations, investigate discrepancies, and resolve outstanding items in collaboration with cross-functional teams.
• Respond to audit requests and management inquiries by assembling accurate documentation, explanations, and financial analysis.
• Assist with special projects and ad hoc reporting needs, partnering with accounting and finance stakeholders to address evolving business requirements.• Bachelor’s degree in Accounting or Finance.
• At least 3 years of public accounting experience.
• Background with Big 4 or a large regional public accounting firm is strongly preferred.
• Strong understanding of financial reporting, general ledger activity, and account analysis.
• Advanced Excel skills with the ability to organize, analyze, and present financial data effectively.
• Experience with month-end close, journal entries, account reconciliations, and bank reconciliations.
• Strong communication, organizational, and problem-solving skills.
• Experience with Oracle financial systems is preferred.

Vacancy posted 2 days ago
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