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Accountant 3

Job in Huntsville, Madison County, Alabama, 35824, USA
Listing for: System Studies and Simulation (S3), Inc.
Full Time position
Listed on 2026-08-08
Job specializations:
  • Accounting
Salary/Wage Range or Industry Benchmark: 65000 - 85000 USD Yearly USD 65000.00 85000.00 YEAR
Job Description & How to Apply Below

S3
, Inc. is a rapidly diversifying business, approaching 1000 employees, founded in 1991, and headquartered in Huntsville, AL.

S³, Inc. provides technical, programmatic, logistics, maintenance, and training services to space, missile and aviation, other Government agencies, Partner Nation militaries, and DoW requirements, at CONUS and OCONUS sites co-located with customer requirements. With a staff that is 80% veterans, the company operates under a ISO 9001/AS9100 certified Quality Management System.

S³’s Agile Engineering Division (AED) supports PAE/PMO technical services for offensive and defensive fires and for PAE Aviation and PMO's.

S3, Inc. has wholly owned subsidiaries that expand the customer base and increase our annual growth rate: KBFS – provides aviation pilot training, heavy lift, aircraft maintenance, and related aircraft services to government and commercial requirements IAW multiple FAA certifications; S3I – provides OCONUS FMS technical services, maintenance, and aviation platform training; and GLSS – provides SCA/CBA contract aviation maintenance.

S3, Inc. and its subsidiaries are recruiting to expand and augment staff for contract growth. We are proud to offer above-industry-standard benefits and encourage our team members to build fulfilling careers with our mission-focused leadership. Come work with us, and let us build something great together!

S³, Inc. has an immediate need for an Accountant 3 who will be part of the corporate F&A team at our corporate HQ in Research Park, Huntsville, AL.

Description

The Accountant maintains and analyzes financial records, ensuring the accuracy and compliance of an organization's financial activities. They are responsible for managing general ledgers, reconciling accounts, preparing financial statements (like P&L and balance sheets), and assisting with audits and tax filings.

Responsibilities
  • Assist in preparing monthly balance sheet reconciliation, highlight and rectify any anomalies encountered
  • Prepare and analyze journal entries
  • Assist in reviewing accuracy of journal entries and accounting classification
  • Review posting issues and resolve errors
  • Compare accounting system outputs with input verifying for accuracy and resolving discrepancies
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