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Staff Accountant-Finance Operations

Job in New York, New York County, New York, 10261, USA
Listing for: Villa Roma
Full Time position
Listed on 2026-09-12
Job specializations:
  • Accounting
    Accounts Receivable/ Collections, Financial Reporting, Financial Analyst, Financial Compliance
  • Finance & Banking
    Accounts Receivable/ Collections, Financial Reporting, Financial Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 65000 - 70000 USD Yearly USD 65000.00 70000.00 YEAR
Job Description & How to Apply Below

If you are unable to complete this application due to a disability, contact this employer to ask for an accommodation or an alternative application process.

Staff Accountant-Finance Operations

Professional Callicoon, NY, US

7 days ago Requisition

Salary Range: $65,000.00 To $70,000.00 Annually

JOB DESCRIPTION

Staff Accountant, Finance Operations

Position Title

Staff Accountant, Finance Operations

Department

Finance & Accounting

Reports To

Financial Controller / Corporate Finance Manager

Direct Reports

None

Location

Employment Type

Full-Time, On-Site

FLSA Status

Exempt

Salary Range

$65,000 to $70,000 annually

Effective Date

August 31, 2026

POSITION SUMMARY

The Staff Accountant, Finance Operations supports the Finance and Accounting function across vendor payments, customer receivables, cash management, banking, reconciliations, and month-end close. The position combines accounts payable, accounts receivable, and treasury responsibilities in a single role and requires an organized, analytical, detail-oriented individual who is comfortable working in a fast-paced hospitality environment.

The incumbent works closely with Finance, resort operations, department managers, vendors, customers, and banking partners to maintain accurate financial records, strengthen cash controls, improve collections, and support management of the resort's working capital.

KEY RESPONSIBILITIES Accounts Payable
  • Review, code, and process vendor invoices accurately and on a timely basis.
  • Confirm that invoices carry appropriate supporting documentation, departmental coding, GL coding, and management approval before payment.
  • Maintain vendor records and assist with vendor onboarding and documentation.
  • Prepare the weekly AP aging and proposed payment schedule based on due dates, vendor priority, and available cash.
  • Process approved payments through ACH, wire transfer, check, and other authorized payment methods.
  • Reconcile vendor statements and investigate invoice, payment, and credit discrepancies.
  • Monitor outstanding checks, returned payments, duplicate invoices, credits, and unapplied vendor balances.
  • Respond professionally and promptly to vendor payment inquiries.
  • Maintain supporting documentation and audit trails for all disbursements.
  • Assist with AP accruals and month-end closing activities.
Accounts Receivable
  • Maintain accurate customer accounts and monitor outstanding receivables.
  • Prepare and distribute invoices, statements, and supporting documentation as required.
  • Monitor the AR aging and follow up on past-due balances.
  • Coordinate collection activity with customers, groups, corporate accounts, timeshare entities, and other counter parties.
  • Apply customer payments accurately and investigate unapplied cash and account discrepancies.
  • Reconcile AR balances to the general ledger and supporting systems.
  • Prepare weekly collection reports covering overdue balances, collection status, expected receipts, and issues requiring management attention.
  • Support intercompany billing, reconciliation, and collection activity where applicable.
  • Work with operating departments to resolve billing disputes and obtain the documentation needed for collection.
Treasury and Cash Management
  • Monitor daily bank balances and prepare daily cash-position reports.
  • Assist with short-term cash-flow forecasting and identification of upcoming funding requirements.
  • Prepare and process approved ACH and wire payments.
  • Monitor incoming ACH, wire, credit-card, check, and other cash receipts.
  • Perform daily and monthly bank reconciliations and investigate reconciling items promptly.
  • Monitor outstanding checks, returned ACH transactions, bank fees, deposits in transit, and other unusual banking activity.
  • Maintain documentation and approval controls over banking transactions.
  • Assist management with weekly cash planning and prioritization of vendor, payroll, tax, debt-service, utility, and other critical payments.
  • Maintain schedules of upcoming recurring payments and significant cash commitments.
  • Support banking relationships and respond to requests for transaction information and supporting documentation.
Accounting and Month-End Support
  • Prepare journal entries related to AP, AR, cash, accruals, prepayments, and other assigned accounts.
  • Perform monthly balance-sheet account reconciliations.
  • Reconcile AP and AR subledgers to the general ledger.
  • Assist with month-end and year-end financial close.
  • Investigate unusual account balances and transaction variances.
  • Maintain accurate accounting schedules and supporting documentation.
  • Assist with external audit…
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