Accountant
We are Techmer PM — the world’s foremost materials design firm, creating custom polymers that make up essential products. Through our long-standing partnerships with processors, original equipment manufacturers, and product designers, we’ve worked for decades to tackle manufacturing and business challenges through sustainable, future-minded solutions.
We are currently seeking a Accountant.
Key Responsibilities:
- Month end general ledger closing
- Ensure periodic entries are posted
- True up packaging balances
- Ensure all invoices are in for the previous month. Accrue utilities or other invoices not received.
- Verify AP, AR, and Cash balances
- Reclass Returns monthly
- Month end reporting
- Produces Balance sheet and Income Statements
- Produces EBITA reporting
- Produces other management reporting tools as needed
- Make sure Sales Returns, Allowances, and Rebate file are ready for distribution.
- Account reconciliations
- Ensure activity in balance sheet accounts is accounted for in reconciliations
- Prepares Bank Reconciliations
- Maintain activity on accruals
- Analyzes IS accounts
- Fixed asset management
- Maintains spreadsheet of CIP account. Keep copies of invoices
- Enter assets into BNA. Reclass CIP to Fixed Assets as projects are finished or small assets are purchased. Scan invoices to attach to fixed asset in BNA
- Ensure BNA balances to GL
- Runs depreciation reports monthly and posts depreciation to GL
- Capitalizes any labor for open projects
- Quarterly and Semi-Annual tax reporting and filing
- Reports Sales & Use Tax Quarterly
- Report on CAT Tax Quarterly
- Reports Workers Comp Semi-Annually
- Maintains and reviews accruals for taxes monthly
- Report all additional sales related taxes monthly or quarterly
- Year end audit and tax reporting
- Maintains GL detail on various accounts. Prepares tax prep and audit files
- Produces AR & AP Aging reports
- Provides trial balance with balance sheet reconciliations
- Works with auditors and provide information as requested
- Provides trial balance with balance sheet reconciliations
- Works with auditors and provide information as requested
- Treasury reporting
- Pulls daily cash reports from banks
- Prepares daily AP payments
- Submits payment files to the bank
- Prepare cash forecast
- Payroll entries
- Pull reports from UKG
- Reconcile report with bank transactions
- Post journal entry