Miami Beach Financial Services company is looking for a
Cash Management Staff Accountant. In this position you will conduct daily cash
reconciliations, produce a daily cash summary report, review and code all invoices
to proper GL expense accounts, print checks, file invoices, post journal
entries and work on special projects. Ideal candidates with have extensive cash
reconciliation experience, strong background in A/P and be highly detailed.
Knowledge of NetSuite highly preferred.
Salary Range: $40,000 to $47,000
Email Resume to: JFarrick@KuninAssociates.com
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