Posted in General Business about 2 hours ago.
Type: Full-Time
Description:
Your role at Samsonite:
Samsonite is seeking a Staff Accountant to oversee the reconciliation of most corporate & international cash accounts, creating/parking journal entries, and reconciling several general ledger accounts. The journal entries prepared include and are not limited to R&D accruals, intercompany management fees, tax entries, and intercompany loan interest payment accruals. This role is also responsible for the preparation of quarterly invoices for intercompany management fees & monthly invoices for intercompany IT cross charges. You will work on-site 4 days per week with the opportunity to work remotely one day per week.
Reconciliations
• Reconcile assigned balance sheet accounts monthly, research more complex discrepancies, determine appropriate course of action, and resolve differences efficiently.
Month End Tasks
• Prepare corporate monthly journal entries, including accruals, Intercompany Transactions, Interest Accruals, and payments.
• Work directly with AP, AR, and Treasury to resolve any existing variances in the cash sub accounts.
• Validate bank account balances.
• Reconciling several Corporate general ledger accounts monthly.
• Conduct revaluation on bank accounts.
• Assist with PO and invoice processing using Docuware.
Other Duties
• Provide accounting support to Finance teams and other departments.
• Other duties as assigned by the Corporate Accounting team.
Samsonite Company Stores, LLC |
Beacon Hill Staffing Group, LLC |