Looking for an accounting role where you'll have direct impact on financial operations while gaining exposure to billing, cash applications, reconciliations, and revenue tracking? This opportunity offers strong hands-on experience, cross-functional visibility, and the chance to grow within a collaborative finance team.
Salary: $61,800.00
- Gain broad exposure to accounts receivable, billing, banking activity, and revenue tracking
- Work closely with finance leadership and key operational stakeholders
- Develop advanced Excel and data management skills in a transactional accounting environment
- Build expertise in cash applications, invoice reconciliation, and payment processing
- Opportunity to work with multiple financial and reporting systems
- Hybrid work schedule offering a blend of onsite collaboration and remote flexibility
- Join a team environment that values accuracy, accountability, and professional growth
- Enhance your experience with complex billing processes and high-volume financial transactions
- Opportunity to strengthen cross-functional communication and problem-solving skills
- Stable accounting opportunity with visibility across daily financial operations
- Maintain and update customer account records and billing information
- Generate invoices, billing reports, and recurring account statements
- Process and post incoming payments, ACH transactions, and deposits
- Reconcile customer payments against outstanding invoices and account balances
- Track banking activity and accurately record financial transactions
- Assist with payment processing, cash receipts, and financial record maintenance
- Associate's or Bachelor's degree in Accounting, Finance, Business Administration, or related field
- 2+ years of Accounts Receivable, Billing, or related accounting experience
- Advanced Excel skills, including VLOOKUPs and Pivot Tables
- Experience with accounting, ERP, or property management software systems
- Knowledge of ACH processing, banking transactions, and payment applications
- Strong attention to detail and accuracy in financial data entry and reconciliations
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