Accounting Manager

Accounting Manager
Canton Food Company, a Cash and Carry Wholesaler has openings for experienced Accounting Manager for our Los Angeles location.

Canton offers competitive wages, good benefits, pension program and a thorough training program
Job Responsibilities:
Responsibilities include but not limited to the following:

· Managing all AP & AR staff on daily invoicing and vouchering

· Manage & Review AP &AR aging reports and month end closing

· Verify new AP Vendors and AR Customer files for proper setup

· Manage all Vault Room Staff

· Verify POS Transactions collected with deposits & reports to assure good check and balance

· Manage and review all cash/check/credit and debit card transaction were posted to bank accounts

· Reconcile all bank statements for all books

· Review all journal entries booked to GL

· Prepare, reconcile and analyze integrity of all General Ledger accounts up to TB

· Prepare, review and present P&L and Financial Statements for all books monthly

· Prepare, review, analyze and file all monthly/quarterly/yearly tax reports, government reports and business licenses

· Reconcile company Income Tax return and Franchise Tax return with TB

· Book and journalize all Gain/Loss reported on Pension and Investment statements

· Manage and balance all monthly P/R deduction recap reports with G/L account; file all payroll taxes through EFTP payments; balance all YTD Payroll figures with G/L accounts

· Manage, review and present all Worker’s Comp/Liability Reports for internal and audit purposes

· Reconcile Fix Asset with 571 Tax Filing Report, prepare depreciation reports on all fixed assets

· Maintain and reconcile all Subsidiary Accounts in Quick Book and prepare TB & FS for these books
Requirements:

· Proficient is MS Office

· Strong ability to use calculation skills to include discounts, commissions, percentages and interest

· High attention to detail

· Ability to prepare reports and business correspondence

· Excellent verbal and written skills

· Strong organizational, analytical and problem skills to manage workflow and priorities

· Flexible

· Employee Parking Provided
Contact Information: Email resumes to or Fax Resume to Attn: ext.

240
Job Requirements:
Responsibilities include but not limited to the following:

· Managing all AP & AR staff on daily invoicing and vouchering

· Manage & Review AP &AR aging reports and month end closing

· Verify new AP Vendors and AR Customer files for proper setup

· Manage all Vault Room Staff

· Verify POS Transactions collected with deposits & reports to assure good check and balance

· Manage and review all cash/check/credit and debit card transaction were posted to bank accounts

· Reconcile all bank statements for all books

· Review all journal entries booked to GL

· Prepare, reconcile and analyze integrity of all General Ledger accounts up to TB

· Prepare, review and present P&L and Financial Statements for all books monthly

· Prepare, review, analyze and file all monthly/quarterly/yearly tax reports, government reports and business licenses

· Reconcile company Income Tax return and Franchise Tax return with TB

· Book and journalize all Gain/Loss reported on Pension and Investment statements

· Manage and balance all monthly P/R deduction recap reports with G/L account; file all payroll taxes through EFTP payments; balance all YTD Payroll figures with G/L accounts

· Manage, review and present all Worker’s Comp/Liability Reports for internal and audit purposes

· Reconcile Fix Asset with 571 Tax Filing Report, prepare depreciation reports on all fixed assets

· Maintain and reconcile all Subsidiary Accounts in Quick Book and prepare TB & FS for these books

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