General Ledger Accountant
Indeed Hire in partnership with Apex International - Chicago, IL
Ensures that bank accounts, subsidiary ledgers, receivable and payable aging reports and inventory listings are reconciled to the general ledger monthly....
Staff Tax Accountant
AEMC - Anderson's Enterprise Management Corporation - Hazel Crest, IL
Days and hours of work are Monday through Friday, 9 a.m. to 4 p.m. Extra work hours should be expected from February to April including some Saturdays from 10 a...
Global Talent Recruiting - Chicago, IL
Responsible for general ledger accounting, including preparation of journal entries, and the review and preparation of timely and accurate reports, including...
Remote Tax Accountant
1-800Accountant - Chicago, IL
Remote Tax Accountant. Responsibilities for Remote Tax Accountant:. 1-800Accountant is looking to hire several Remote Tax Accountants who will work directly...
CPS, Inc. - Evanston, IL
SENIOR ACCOUNTANT * Working on various audits of for profit and not for profit organizations * Responsible for preparing, analyzing, and reviewing financial
Public Accounting Staff Accountant
Michael Kimmey & Associates - Orland Park, IL
We are currently seeking a self-motivated, dedicated team player with 3+ years of recent public accounting experience to lead tax & accounting engagements for
CMC Consultants, Inc. - Chicago, IL
Prepare and post period end standard and adjusting journal entries. Update bank activity for multiple accounts and report weekly....
Tax Professional (Supervisor)
Community Tax LLC - Chicago, IL
Review tax returns prepared by CTAX Accountants & Preparers; We are a nationally recognized leader in IRS defense services for those facing challenges and...
Holding Company - Chicago, IL
Reconcile monthly bank statements. Prepare and review properly documented journal entries. Responsible for month-end, quarter end and year-end close activities...
Nursing Home Management - Skokie, IL
Creates and maintains recurring journal entries to General Ledger. Complete monthly review of all assigned balance sheet reconciliations....