I have a client located in the Warwick RI area that has an opportunity for an Accounting Clerk. If you are any of your colleagues are interested in discussing this role please click Apply Now.
In this role you will be working as an Accounting Clerk for a client that works in the manufacturing industry. This position will be responsible for maintainingaccurate financial records processing transactions and supporting the accounting department.
This position is a contract to possible hire role that is a long term need for my client. This role must be worked on-site.
Pay; $45000-$55000/Yr. depending on experience
Associates degree in Accounting
Maintain and update financial records including AP/AR general ledger entries and bank reconciliations
Process and record financial transactions accurately
Prepare financial reports and statements
Reconcile bank statements and resolve any discrepancies
Assist in audits month end and year end closings
Familar with ERP (Visual) is a plus
#VIS
Job DescriptionI have a client located in the Warwick RI area that has an opportunity for an Accounting Clerk. If you are any of your colleagues are interested in discussing this role please click Apply Now.In this role you will be working as an Accounting Clerk for a client that works in the manufa...
Job Description
I have a client located in the Warwick RI area that has an opportunity for an Accounting Clerk. If you are any of your colleagues are interested in discussing this role please click Apply Now.
In this role you will be working as an Accounting Clerk for a client that works in the manufacturing industry. This position will be responsible for maintainingaccurate financial records processing transactions and supporting the accounting department.
This position is a contract to possible hire role that is a long term need for my client. This role must be worked on-site.
Pay; $45000-$55000/Yr. depending on experience
Associates degree in Accounting
Maintain and update financial records including AP/AR general ledger entries and bank reconciliations
Process and record financial transactions accurately
Prepare financial reports and statements
Reconcile bank statements and resolve any discrepancies