Accounts Payable Job in Long Branch, New Jersey US
A Leading Manufacturing Company located in Monmouth County, New Jersey has an opportunity for an Accounts Payable who will handle the following responsibilities:
- Review invoices for proper authorization
- Match invoice to receiver and purchase order
- Ensure timely input of data into the system
- Handle questions and provide responses to all information requests from internal or external customers
- Prepare and enter journal entries into the general ledger
- Assist with invoice filing
- Ensure adherence to authorized signature list approvals and purchasing cycle policies
Qualified applicants for this excellent opportunity will possess
- A Bachelor’s degree in Accounting a plus
- 1+ years of experience
- Excellent verbal and written communication skills
- Knowledge of Microsoft Office applications
The total compensation range for this opportunity is $30,000 to $35,000 with excellent benefits, bonus, and 401k with match. If you are interested in this excellent opportunity (and/or others similar to it) please forward your resume to careersnj04@careers.com or call us at (973) 921-9777. Ref. # MOMONJ41R. Visit our website at www.nauticusgroup.com to learn more about Nauticus Group and to view more job postings.
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Nauticus Group is an elite staffing team specializing in placing all levels of accountants, bookkeepers, analysts, tax and audit professionals on a temporary, consulting, or permanent basis. Job titles and responsibilities of the candidates we specialize in placing may include the following: accounts payable, accounts receivable, credit, collections, payroll, bookkeeper, accounting clerk, junior accountant, accountant, staff accountant, senior accountant, financial analyst, financial reporting, financial management, auditor, public accounting, tax, cost accountant, accounting manager, controller, treasurer, VP of finance, CFO, Sarbanes-Oxley Consultant, SOX, fixed assets, account reconciliation, cash applications, journal entries, general ledger maintenance, bank reconciliation’s, trial balance preparation, financial reporting, month-end, GAAP, SEC, quarterly and year-end close, financial statements, budgeting, CPA, CMA, planning, internal controls, tax return preparation, forecasts and variance analyses, internal management reports, consolidations, foreign currency management, profit and loss, internal controls, inventory, sales tax, multi state, property tax and payroll tax.