Accounting Clerk

Hudson Companies

Accounting Clerk

Hermitage, PA
Paid
  • Responsibilities

    Hudson Companies in Hermitage, PA, is seeking an Accounting Clerk to join our dedicated team. Our company prides itself on fostering a collaborative and supportive work environment where every team member is valued. As an Accounting Clerk, you will play a crucial role in maintaining financial records, processing invoices, and assisting with report preparation. Your attention to detail and passion for numbers will be instrumental in ensuring the smooth operation of our financial department. Join us at Hudson Companies and be part of a team that values your skills and provides a supportive work culture to help you thrive in your career journey. Responsibilities: • Process accounts payable invoices accurately and timely. Purpose: Maintain financial records and ensure financial transactions are recorded correctly. • Assist in preparing monthly financial statements and reports for management review. Purpose: Provide accurate financial information for decision-making processes. • Perform reconciliations of bank statements and general ledger accounts. Purpose: Ensure accuracy and integrity of financial data. • Support the accounting team in various tasks as needed. Purpose: Contribute to the overall efficiency and effectiveness of the accounting department. • Utilize Microsoft Office skills to assist in data entry and document preparation. Purpose: Maintain organized and up-to-date financial records. Qualifications: • 2+ years of accounting experience. • Proficiency in Microsoft Office Skills. • Familiarity with the Real Estate Industry is a plus. • Experience with invoice processing. • Strong attention to detail. • US Work Authorization. Compensation: $20 - $25 hourly

    • Process accounts payable invoices accurately and timely. Purpose: Maintain financial records and ensure financial transactions are recorded correctly. • Assist in preparing monthly financial statements and reports for management review. Purpose: Provide accurate financial information for decision-making processes. • Perform reconciliations of bank statements and general ledger accounts. Purpose: Ensure accuracy and integrity of financial data. • Support the accounting team in various tasks as needed. Purpose: Contribute to the overall efficiency and effectiveness of the accounting department. • Utilize Microsoft Office skills to assist in data entry and document preparation. Purpose: Maintain organized and up-to-date financial records.