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General Ledger Accountant

Job

Strider Technologies

South Jordan, UT (In Person)

Full-Time

Posted 1 week ago (Updated 2 days ago) • Actively hiring

Expires 6/19/2026

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Job Description

General Ledger Accountant Strider Technologies South Jordan, UT Job Details Full-time 20 hours ago Benefits Paid parental leave Health insurance Dental insurance 401(k) Paid time off Parental leave Vision insurance Qualifications Financial close processing Financial data reconciliation Accounts payable Treasury operations Procedural guides Financial reporting Bachelor's degree in finance NetSuite Mid-level Financial analysis Finance Bachelor's degree GAAP Accounting and finance experience Bachelor's degree in accounting Financial audit support Cross-functional collaboration Ad-hoc reporting Accounting Communication skills Cross-functional communication Journal entry management in accounting Under 1 year Full Job Description Location South Jordan, UT Employment Type Full time Department Finance Overview Strider Technologies delivers strategic intelligence that helps organizations make faster, more confident decisions in an increasingly complex global environment. Using cutting-edge AI and proprietary methodologies, we transform open-source data into actionable insights that help protect technology, talent, and supply chains from nation-state risks. Job Summary The GL Accountant at Strider will play a foundational role in supporting the day‑to‑day operations of the accounting function, with a focus on the general ledger, journal entries, account reconciliations, and the monthly close. You will partner closely with senior accountants and managers to ensure timely, accurate, and well‑documented financial records. This is an excellent opportunity for an early‑career accountant to build a broad foundation across all areas of the accounting cycle in a fast‑moving, multi‑entity SaaS environment.
Key Responsibilities Journal Entries:
Prepare and post recurring and non‑recurring journal entries for accruals, prepaids, depreciation, amortization, intercompany activity, and other GL transactions, ensuring proper coding and adequate support.
Account Reconciliations:
Perform monthly reconciliations of assigned balance sheet accounts (cash, prepaids, accrued expenses, fixed assets, intercompany, etc.), researching and resolving variances on a timely basis.
Monthly Close:
Execute assigned tasks within the monthly, quarterly, and annual close calendar to support an on‑time close. Maintain close checklists and supporting workpapers.
Accounts Payable & Expense Support:
Assist with vendor bill coding review, expense reimbursement processing in Ramp, and credit card transaction reconciliation.
Bank & Cash:
Reconcile bank and credit card accounts across multiple subsidiaries; investigate reconciling items and partner with treasury on cash activity.
Audit Support:
Pull supporting documentation, prepare assigned schedules, and respond to PBC requests from internal and external auditors under the direction of senior team members.
Financial Reporting:
Assist with monthly flux analysis, balance sheet substantiation, and ad‑hoc reporting requests.
Process & Documentation:
Document desk procedures for assigned tasks; identify opportunities to streamline or automate routine work. Cross‑
Functional Support:
Partner with People Ops, FP&A, and operational teams to answer accounting questions and provide transaction support as needed.
Systems:
Use NetSuite, Ramp, Tabs, Claude and supporting tools to record, query, and reconcile activity; help maintain data integrity across the chart of accounts and subsidiary structure. Qualifications Bachelor's degree in Accounting, Finance, or a related field. 0-2 years of accounting experience (internships, staff accountant, or audit experience all qualify). CPA candidate or actively pursuing CPA eligibility is a plus. Working knowledge of
U.S. GAAP
fundamentals and the standard accounting close cycle. Comfort with Excel and AI tools (such as Claude). Exposure to NetSuite or another ERP is preferred but not required — we will train. Strong attention to detail, sense of ownership, and ability to manage multiple deadlines. Clear written and verbal communication; able to ask good questions and document findings. Curiosity to learn how a multi‑entity SaaS business operates and how transactions flow end‑to‑end. Experience in a SaaS, technology, or multi‑entity environment is a plus. Benefits Competitive Compensation Company Equity Options Flexible PTO Wellness Reimbursement US Holidays (Office Closed) Paid Parental Leave Comprehensive Medical, Dental, and Vision Insurance 401(k) Plan Strider is an equal opportunity employer. We are committed to fostering an inclusive workplace and do not discriminate against employees or applicants based on race, color, religion, gender, national origin, age, disability, genetic information, or any other characteristic protected by applicable law. We comply with all relevant employment laws in the locations where we operate. This commitment applies to all aspects of employment, including recruitment, hiring, promotion, compensation, and professional development.

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