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Finance
Accountant
North Las Vegas, NV
Find & Apply For Accountant Jobs in North Las Vegas, Nevada
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Robert Half Staff Accountant North Las Vegas, NV Apply Description We are looking for a detail-oriented Staff Accountant to support a diverse portfolio of entities in North Las Vegas, Nevada. This role offers the opportunity to contribute across day-to-day accounting operations, real estate administration, and financial reporting while partnering closely with accounting leadership. The ideal candidate brings a solid foundation in general ledger accounting, strong organizational skills, and the ability to handle multiple priorities with accuracy and discretion.
Responsibilities:
Manage daily accounting activity for multiple entities, ensuring transactions are recorded accurately and on schedule.
Oversee payables and receivables processing, including billing, collections, payment execution, and upkeep of vendor and customer records.
Record journal entries for recurring activity, accruals, prepaids, and other general ledger adjustments.
Reconcile bank accounts, support cash positioning, and assist with intercompany fund movements and other treasury-related tasks.
Contribute to monthly close activities and help prepare financial statements and supporting documentation for assigned companies.
Maintain organized workpapers, account reconciliations, schedules, and spreadsheets used for analysis and management reporting.
Support accounting and administrative needs tied to commercial and residential properties, including tenant billing, reimbursements, and lease-related recordkeeping.
Assist with audits, tax filings, insurance documentation, lender requests, and maintenance of fixed asset and equipment records.
Communicate with tenants, vendors, and internal stakeholders to resolve account issues and coordinate operational follow-up as needed.
Participate in internal control support, confidential ownership-related matters, and special projects assigned by accounting leadership. Requirements
At least 3 years of hands-on accounting or bookkeeping experience in a business environment.
Strong knowledge of general ledger activity, account reconciliations, and month-end close procedures.
Proficiency with Microsoft Office, including advanced Excel skills for schedules, analysis, and reporting.
Demonstrated ability to balance competing deadlines and manage work across multiple entities or priorities.
Excellent attention to detail and commitment to producing accurate financial records.
Effective written and verbal communication skills when working with internal teams, tenants, vendors, and external partners.
High level of judgment and discretion when handling confidential information.