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Accountant

Remote: 
Full Remote
Contract: 
Experience: 
Mid-level (2-5 years)
Work from: 
Vatican City, United States

Offer summary

Qualifications:

Bachelor's degree in Accounting, Intermediate Microsoft Excel experience, Tax experience required, Strong attention to detail, 3+ years of related work experience preferred.

Key responsabilities:

  • Maintain financial procedures and compliance
  • Prepare financial reporting accurately and timely
  • Handle cash receipts and journal entries
  • Manage the tax database and pay relevant taxes
  • Assist with financial audits and ad hoc projects
Centurion Health logo
Centurion Health Large https://teamcenturion.com/
5001 - 10000 Employees
See more Centurion Health offers

Job description

Job Details
Job Location:    VA, Sterling - Corporate Office - Sterling, VA
Position Type:    Full-Time
Education Level:    Bachelor's Degree
Salary Range:    Undisclosed
Travel Percentage:    None
Job Shift:    Day
Job Category:    Corporate
Description

Centurion is proud to be the provider of comprehensive healthcare services to Department of Corrections. 

We are currently seeking a full-time Cash & Tax Staff Accountant  to join our Accounting Team. This position is fully remote.

 



The Cash & Tax Staff Accountant is responsible for maintaining financial procedures and confirming financial compliance through timely and accurate preparation of financial reporting.

Qualifications

Required:

  • Bachelor's degree in Accounting.
  • Intermediate level Microsoft Excel experience.
  • Tax experience is a must.
  • Strong attention to detail, excellent, quantitative, analytical, organizational, and math skills.
  • Well-developed verbal and written communications skills.
  • Self-starter with the ability to work autonomously when needed. Should also be able to manage multiple projects simultaneously.

Preferred:

  • Minimum of 3 year of related work experience.
  • Experience in Microsoft or any other ERP system.
  • Update excel based cash summary for companywide cash forecast.
  • Apply cash receipts to customer invoices, book paid claim and other journal entries related to cash.
  • Prepare monthly balance sheet reconciliations related to cash and other GLs as needed. Identify and resolve outstanding variances on a monthly basis.
  • Prepare and file other month-end journal entries to support monthly close process.
  • Improve cash booking process for better financial outcome.
  • Will be responsible for business license registrations and renewals.
  • Manage a company tax database by state.
  • Track, file and pay any franchise, excise or gross receipts tax.
  • Demonstrate continuous effort to improve operations, decrease turnaround times, and increase efficiency by streamlining work processes.
  • Assist manager in financial audits as necessary.
  • Ad hoc projects as assigned.


We offer excellent compensation and comprehensive benefits for our full-time team members including:

  • Health, dental, vision, disability and life insurance
  • 401(k) with company match
  • Generous paid time off
  • Paid holidays
  • Flexible Spending Account
  • Continuing Education benefits
  • Much more...

Required profile

Experience

Level of experience: Mid-level (2-5 years)
Spoken language(s):
English
Check out the description to know which languages are mandatory.

Other Skills

  • Detail Oriented
  • Non-Verbal Communication
  • Organizational Skills
  • Microsoft Excel
  • Analytical Skills

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