Staff Accountant Accounting Firm
Manage the accurate preparation and filing of state and federal tax forms for clients. Develop strategic tax plans and implement process improvements to ensure compliance with international and domestic tax laws.
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Manage the accurate preparation and filing of state and federal tax forms for clients. Develop strategic tax plans and implement process improvements to ensure compliance with international and domestic tax laws.
The role involves managing the monthly, quarterly, and annual revenue accounting close process, including journal entries and balance sheet reconciliations. It also oversees the full accounts receivable and order-to-cash processes to ensure proper revenue recognition and compliance.
The role involves preparing financial statements, journal entries, and management fee calculations for Venture Capital and Private Equity funds. Additionally, the position manages cash activities, investor capital calls, tax filings, and technology automation projects.
The Senior Accountant provides day-to-day accounting support, financial reporting, and project cost tracking for development activities. Key duties include recording development transactions, maintaining general ledger accounts, and supporting audit and tax preparation.
The Tax Accountant is responsible for preparing and filing various state and local tax returns, including premium and municipal taxes. The role involves analyzing tax implications of business activities and performing account reconciliations to ensure compliance with financial standards.
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Manage day-to-day financial operations for a portfolio of nonprofit clients, including monthly close processes and financial statement preparation. Support organizations with budgeting, grant reporting, and annual audit preparation while communicating directly with clients.
The Senior Accountant manages month-end and year-end financial close activities, balance sheet reconciliations, and technical accounting documentation. They are also responsible for maintaining internal controls, supporting annual audits, and driving process improvements through automation.
Manage monthly accounting close procedures, including journal entries, GL variance analysis, and balance sheet reconciliations. Oversee customer billing, revenue recognition across multiple contract types, and support annual external financial audits.
The GL Accountant supports the monthly close process by managing lease accounting, expense reports, and bank transaction uploads. They are responsible for maintaining accurate schedules, performing reconciliations, and ensuring adherence to close deadlines and audit standards.
Manage day-to-day accounting transactions, bank reconciliations, and the quarterly closing process for private equity clients. Coordinate annual audits, tax returns, and the distribution of investor reports and capital calls.
Lead the preparation of complex journal entries and reconciliations while ensuring compliance with U.S. GAAP. Support monthly, quarterly, and annual close activities and partner with auditors to resolve accounting inquiries.
The role involves preparing journal entries, account reconciliations, and supporting the monthly, quarterly, and annual close processes. The Technical Accountant will also research accounting guidance and assist with financial reporting schedules and external audits.
Own month-end and quarter-end close activities, including journal entries, accruals, and financial reporting for assigned G&A or S&M areas. Partner cross-functionally to provide accounting guidance and leverage AI tools to automate manual workflows and accelerate the close process.
The Property Accountant is responsible for preparing and reviewing monthly financial statements, managing general ledger closes, and performing bank reconciliations. They also provide training to community teams on financial systems and assist with internal and external audits.
Responsible for quarterly Statutory, IFRS, and Solvency II financial reporting for complex reinsurance accounts. The role involves analyzing client data, managing cash reporting, and coordinating with actuarial teams and auditors.
Participate in a Rotational Development Program to gain exposure to Tax, Audit, and Consulting departments. Use this varied experience to determine a long-term career path within public accounting.
The Staff Accountant manages day-to-day accounting operations, including journal entries, account reconciliations, and month-end close processes. They specifically handle financial aspects of the retail business, including invoice approval and accounts receivable management.
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Responsible for investment accounting operations, including GAAP/Stat reconciliations and monthly close procedures within the Investment Center of Excellence. The role also focuses on maintaining internal controls, executing risk identification, and driving process efficiencies.
Provide full-cycle accounting and operational services to multiple clients, including managing accounts payable, receivable, and monthly financial reporting. Build strong client relationships and implement software tools to drive efficiency and value.
Manages project financial forecasting, contracts, and the financial closeout process for mid-to-large scale construction projects. Coordinates with project management and clients while mentoring less experienced team members and managing accounts payable/receivable.
Handle day-to-day bookkeeping tasks and communicate directly with clients to ensure accurate and timely financial reporting. Collaborate with a Client Portfolio Manager and team to manage a group of clients and maintain a reliable client experience.
Perform monthly reporting and analysis on US GAAP results, including financial statements and budget-to-actual flux analysis. Manage accounting compliance, coordinate external audits, and implement new accounting standards and procedures.
The role involves owning the revenue close process, including journal entries, reconciliations, and the full-cycle Order-to-Cash process. The accountant will also implement controls, build revenue recognition workbooks for new products, and coordinate with external auditors.
The Senior Accountant will own the end-to-end month-end close process and build scalable documentation and controls. They will manage general ledger accounts, coordinate with external auditors, and partner with cross-functional teams to ensure GAAP compliance.
Manage global inter-company reconciliations, recharges, and P&L expense account analysis. Responsible for financial reporting, process automation, and liaising with stakeholders for STP processes.
Support the corporate tax department by ensuring accurate tax return compliance and financial reporting. Responsibilities include preparing corporate and partnership tax work-papers, managing tax fixed asset records, and assisting with ASC 740 tax provisions.
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Provide transactional and analytical accounting support to AEC clients, including financial reporting, invoicing, and payroll reconciliation. Serve as a trusted advisor by leading financial review meetings and delivering accurate financial insights.
The role involves managing the full accounting cycle, including month-end close and consolidated financial reporting for multiple profit centers. The accountant will also focus on process improvement, risk evaluation, and enhancing company profitability.
The role involves managing the full accounting cycle, including month-end close and consolidated financial reporting for multiple profit centers. The candidate will focus on process improvement, risk evaluation, and enhancing company profitability through collaboration.
Provide full-cycle accounting and operational services to multiple clients using cloud-based platforms. Responsibilities include managing accounts payable/receivable, closing monthly books, and maintaining strong client relationships.
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