Senior Accountant
Northwest Landscape ServicesAbout the role
Monarch Landscape Companies
Monarch Landscape Companies is a family of successful landscape brands in eight states across the United States. We are a values-based learning organization committed to being the best place to work as a landscape professional. At Monarch Landscape Companies, your achievements determine your rewards, your abilities define your success, and your professionalism leads to autonomy!
JOB SUMMARY: This position requires 3 years of experience in general accounting, financial and business-related analysis, and financial reporting. This position requires experience in various financial functions: general accounting; accounts receivables; accounts payable; financial reporting and analysis; and billing.
MINIMUM QUALIFICATIONS:
Education
- Bachelor’s degree in business administration with an emphasis in accounting or finance
Experience
- Three years’ experience including exposure to general accounting, analysis, accounts
payable, and accounts receivable
License or Certification
- CPA certification preferred but not required
Specialized Skills
- Ability to interact and communicate both verbally and in writing.
- Demonstrated knowledge and experience in general ledger reconciliations
- Demonstrated familiarity with computers and calculators.
- Demonstrated knowledge and experience with Advance Excel and IFS experience preferred.
- Ability and willingness to contribute to quality efforts.
- Demonstrated organizational and management skills
Physical Requirements
- Ability to sit most of the working day
ESSENTIAL DUTIES
- Responsible for general accounting entries, month-end close, general ledger accounts analysis, review of AP coding and payroll, monthly balance sheet reconciliations.
- Prepares and records asset, liability, revenue, and expense entries by compiling and analyzing account information.
- Maintains and balances subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies
- Summarizes financial status by collecting information; preparing balance sheet, profit and loss, and other statements
- Prepare accurate, timely financial statements in accordance with our established schedule
- Conduct monthly and quarterly account reconciliations to ensure accurate reporting and ledger maintenance
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