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Senior Staff Accountant Financial Services

Job

North American Financial Corp.

Henderson, NV (In Person)

$85,000 Salary, Full-Time

Posted 3 days ago (Updated 15 hours ago) • Actively hiring

Expires 7/21/2026

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Job Description

Senior Staff Accountant - Financial Services North American Financial Corp. Henderson, NV Job Details Full-time $75,000 - $95,000 a year 1 hour ago Benefits Health insurance Dental insurance 401(k) Paid time off Vision insurance Retirement plan Qualifications Operational analysis CPA Bachelor's degree Attention to detail GAAP Full Job Description Overview North American Financial Corp. is a growing multi-state mortgage banking company seeking a highly organized, detail-oriented Staff Accountant to join our corporate office in Henderson, Nevada. This position plays a critical role in maintaining the financial integrity of the organization through accounts payable management, financial reconciliations, loan-level profitability analysis, and support of monthly and annual financial reporting. The ideal candidate possesses strong accounting knowledge, exceptional attention to detail, excellent communication skills, and unquestioned integrity. This is an in-office position. Relocation assistance is available for qualified candidates. Candidates must be comfortable working in a high-volume mortgage banking environment where monthly loan production can exceed 200 funded loans and where attention to detail directly impacts company profitability, investor reporting, and regulatory compliance. Responsibilities Accounts Payable Management Process and maintain accounts payable transactions. Bank and Balance Sheet Reconciliations Perform daily, weekly, and monthly account reconciliations. Reconcile operating accounts, warehouse-related accounts, and other balance sheet accounts. Investigate and resolve reconciling items promptly. Ensure accurate general ledger balances. Loan-Level Profitability Analysis Track profitability by individual loan transaction, branch, and division. Reconcile income and expenses associated with funded and sold loans. Analyze margins, commissions, fees, and operational costs. Prepare profitability reports for executive management. Identify trends and opportunities to improve operational efficiency and profitability. Financial Reporting Assist with monthly financial statement preparation. Support month-end and year-end closing processes. Prepare journal entries and supporting schedules. Assist with budgeting, forecasting, and financial analysis. Generate management reports as requested. Audit and Compliance Support Assist with annual financial audits. Maintain documentation supporting regulatory, warehouse lending, and investor requirements. Support state licensing, FHA, and mortgage banking financial reporting requirements. Ensure accounting records comply with company policies and accounting standards. Internal Controls and Process Improvement Maintain strong accounting controls and procedures. Identify opportunities to improve accounting processes and efficiencies. Assist management in strengthening financial accountability throughout the organization. Support special projects and executive initiatives as assigned. Review invoices for accuracy and proper authorization. Monitor payment schedules and vendor relationships. Reconcile vendor statements and resolve discrepancies. Maintain organized accounting records and supporting documentation. Requirements Required Bachelor's Degree in Accounting, Finance, or related field. Preferred Mortgage banking, banking, lending, or financial services experience. Experience with loan accounting and loan-level profitability analysis. Experience with warehouse lending transactions. Experience preparing audit schedules and supporting documentation. CPA designation or active pursuit of CPA certification. Desired Traits We are looking for someone who: Possesses unquestionable integrity, professionalism and accountability.. Takes ownership and accountability for their work. Is highly organized and deadline-driven. Communicates effectively with management, vendors, and team members. Enjoys problem-solving and identifying root causes of discrepancies. Has the ability to analyze financial data and present meaningful conclusions. Minimum three (3) years of accounting experience. Strong understanding of Generally Accepted Accounting Principles (GAAP). Experience with account reconciliations and general ledger accounting. Excellent written and verbal communication skills. Exceptional attention to detail and organizational skills.
Pay:
$75,000.00 - $95,000.00 per year
Benefits:
401(k) Dental insurance Health insurance Paid time off Retirement plan Vision insurance
Work Location:
In person