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Assistant Accountant

Aston Carter

Posted Wednesday, April 30, 2025

Posting ID: JP-005244894

Plantation, FL
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Description

Are you ready to take your finance skills to the next level in a dynamic and supportive environment? Join us as an accounting assistant and be part of a team that values collaboration and growth!


Key Responsibilities:

  • AR Analysis: Dive into customer payments and post cash receipts.
  • Bank and GL Reconciliations: Ensure accuracy and consistency.
  • Supplier Management: Set up new suppliers and handle amendments.
  • Invoice Processing: Code costs and manage approvals efficiently.
  • Accounts Inbox Management: Oversee and respond to daily communications.
  • Payment Requisitions: Create and manage payment requests.
  • Month-End Tasks: Prepare accruals, prepaids, and manage fixed assets.
  • Reconciliations: Perform balance sheet and supplier statement reconciliations.
  • Journal Management: Post month-end journals accurately.

Additional Skills & Qualifications

What We’re Looking For:

  • Proficiency in SAP ERP and Blackline Reconciliation.
  • Ability to generate insightful Power BI reports.
  • Advanced skills in Microsoft Excel.
  • A keen eye for process improvement.
  • Strong written and verbal communication skills.
  • Exceptional attention to detail and prioritization abilities.

Valuable Skills:

  • Knowledge of ledgers and double-entry bookkeeping.
  • Familiarity with Microsoft PowerPowerPoint.

Experience Level

Entry Level

Compensation:$32

Contact Information

Email: ztomkova@astoncarter.com

The company is an equal opportunity employer and will consider all applications without regards to race, sex, age, color, religion, national origin, veteran status, disability, sexual orientation, gender identity, genetic information or any characteristic protected by law.
On-Site
Communication
Management
Ledgers (Accounting)
Bookkeeping
Invoicing
Detail Oriented
Microsoft Excel
Finance
Process Improvement
Accounting
Prioritization
Verbal Communication Skills
Power BI
SAP ERP
Accruals
Reconciliation
Supplier Management
Cash Receipts
Balance Sheet
Fixed Asset
Journals
BlackLine (Accounting Software)
Statement Reconciliation

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