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4 Months AgoSaved
Productivity
The IT Change Management Specialist will manage accounting functions, ensuring accurate financial records and adherence to GAAP. Responsibilities include account reconciliations, financial statement preparation, budgeting, and process improvements, with a focus on contributing to the organization’s financial health and compliance.
Top Skills:
Excel
4 Months AgoSaved
Productivity
The Staff/Senior Accountant will maintain accurate financial records, prepare reports, analyze data, and ensure compliance. Duties include managing reconciliations, reviewing transactions for GAAP compliance, analyzing revenue recognition, and preparing financial statements and budgets.
Top Skills:
Excel
4 Months AgoSaved
Productivity
The IT Disaster Recovery Specialist will play an essential role in the finance team by maintaining accurate financial records, preparing reports, analyzing data, and ensuring regulatory compliance. Responsibilities include account reconciliations, reviewing transactions, assisting in budget preparation, and identifying process improvements.
Top Skills:
Excel
4 Months AgoSaved
Productivity
The IT Change Management Specialist will manage accounting functions including reconciling accounts, analyzing financial data, and ensuring compliance with GAAP. They will prepare reports, assist in budgeting and forecasting, and improve accounting processes. Strong communication, analytical skills, and experience with accounting software are essential.
Top Skills:
Excel
4 Months AgoSaved
Productivity
The role involves maintaining accurate financial records, preparing reports, analyzing data, and ensuring compliance with regulations. You will manage accounting functions, analyze expenditures, review transactions per GAAP, assist in financial statements preparation, design budgets, and enhance accounting processes.
Top Skills:
ExcelIntacctNetSuiteQuickbooks
4 Months AgoSaved
Productivity
The IT Disaster Recovery Specialist will manage the accounting function at BenchPrep, focusing on maintaining accurate financial records, preparing reports, analyzing data, and ensuring compliance. Key responsibilities include account reconciliations, journal entries, analyzing expenditures, preparing financial statements, and seeking process improvements.
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