Skip to main content
Tallo logoTallo logo
Apply for this opportunity

This job application is on an outside website. Be sure to review the job posting there to verify it's the same.

Sr. Accountant ( hybrid)

Job

Robert Half

Batavia, NY (In Person)

Full-Time

Posted 2 days ago (Updated 8 hours ago) • Actively hiring

Expires 7/24/2026

Review key factors to help you decide if the role fits your goals.
Pay Growth
?
out of 5
Not enough data
Not enough info to score pay or growth
Job Security
?
out of 5
Not enough data
Calculating job security score...
Total Score
64
out of 100
Average of individual scores

Were these scores useful?

Skill Insights

Compare your current skills to what this opportunity needs—we'll show you what you already have and what could strengthen your application.

Job Description

Senior Accountant( hybrid opportunity) growing corporate office that has opportunities to grow your career to lead close activities, maintain accurate financial records, and provide meaningful insight into balance sheet and cash flow trends. Bring your strong experience and knowledge of GAAP, sound judgment in analyzing variances, and the ability to support a growing company with accuracy and consistency.

Medical, dental , 401k and other perks hybrid 3 days on site. Plus bonusFor immediate consideration or more information reach out to/ email your resume to danielle.tubero@roberthalf.c0m or call Danielle Tubero at 630-368-1175
Responsibilities:
  • Responsible for month-end accounting activities, including preparing journal entries, reviewing general ledger activity, and helping ensure timely and accurate financial close.
  • Perform detailed balance sheet and bank reconciliations, investigate discrepancies
  • Analyze financial results and explain account fluctuations by identifying accounting impacts and key year over year variances.
  • Maintain and reconcile intercompany transactions and balances when applicable to support accurate consolidated reporting.
  • Support fixed asset accounting by tracking additions, retirements, depreciation, and related account activity.
  • Process wire transactions and compile cash-related information to assist with cash flow forecasting and liquidity reporting.
  • Assist in creating accounting best practices by applying GAAP standards
  • Collaborate with internal management to provide financial information ,operational and reporting needs.
  • Experience in a private equity-backed business or a larger company environment a plus