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Finance
Accountant
Garner, NC

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Custom Home Exteriors

Staff Accountant

Job Description

Build the Future with CHE At CHE, we're not your typical construction company. We're building the future by combining exceptional people, innovative technology, and AI-powered processes to deliver best-in-class service to our customers. We're seeking a detail-oriented, analytical, and technology-forward Staff Accountant who enjoys solving problems, improving processes, and helping leadership make informed business decisions. This role is ideal for someone who wants to grow beyond traditional accounting and become a trusted financial business partner.
What You'll Do:
General Accounting Prepare and post journal entries. Perform monthly bank and general ledger reconciliations. Assist with month-end and year-end close. Maintain fixed asset schedules. Prepare balance sheet reconciliations. Assist with budgeting and forecasting activities. Ensure compliance with GAAP and internal controls. Support the annual financial audit. Maintain accurate financial records and documentation. Construction Accounting Assist with job cost accounting. Reconcile project costs and labor allocations. Review purchase orders and subcontractor expenses. Assist with project profitability reporting. Support commercial and residential accounting activities. Monitor construction WIP (Work in Progress). Assist with retainage tracking. Support AIA billing and project accounting as needed. Accounts Payable & Receivable Support Review vendor invoices for accuracy. Assist with payment processing. Reconcile vendor statements. Support collections efforts. Assist with customer billing. Financial Reporting Prepare recurring financial reports. Analyze financial trends and variances. Create dashboards and executive reporting. Identify opportunities to improve financial performance. AI & Continuous Improvement CHE embraces technology and expects our accounting team to do the same.
You will:
Use AI tools responsibly to improve productivity. Identify manual processes that can be automated. Improve reporting through Excel, Power BI, and automation tools. Recommend process improvements. Help build scalable accounting systems as CHE grows. Qualifications Required Bachelor's Degree in Accounting or Finance 2-5 years of accounting experience Strong understanding of GAAP Advanced Microsoft Excel skills Excellent analytical abilities Strong organizational and time management skills Excellent written and verbal communication High attention to detail Ability to prioritize multiple deadlines Preferred Construction accounting experience Job costing experience NetSuite ERP experience Sage 100 Contractor experience Power BI Microsoft Copilot ChatGPT or similar AI tools Process automation experience What Success Looks Like Within your first year you will: Improve month-end close efficiency. Deliver highly accurate financial reporting. Reduce manual accounting processes. Increase reporting visibility for leadership. Identify opportunities to improve operational efficiency. Become a trusted business partner across departments. Please see the link to our DISC assessment. We use the DISC profile to better understand communication styles and team dynamics. Once completed, you'll receive a copy of the report, which we'll also use to learn more about how your unique strengths align with the role and our company. You will need about 20 minutes of quiet time to complete it.
https:
//profiles.innermetrix.com/VO/f2ede1f6/en
Pay:
$60,000.00 - $70,000.00 per year
Benefits:
401(k) Dental insurance Disability insurance Flexible schedule Flexible spending account Health insurance Health savings account Life insurance Paid time off Vision insurance Application Question(s): Tell us about the accounting function you currently own. What areas are you personally responsible for from start to finish? Are you available to work onsite Monday -Friday in Garner, NC? Walk us through your month-end close process. Which tasks do you personally complete? Tell us about a mistake you caught before it became a larger financial issue. How did you identify it? When you're given an unfamiliar accounting task, how do you approach learning it?
Work Location:
In person