Staff Accountant
Listed on 2026-02-19
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Accounting
Financial Reporting, Accounting Manager -
Finance & Banking
Financial Reporting, Accounting Manager
Job Description
Job Title: Staff Accountant
General Description: G1 Partners, LLC (G1) is a boutique office servicing approximately fifteen families. We seek a qualified candidate with passion for service, professional demeanor, natural communication, and a team attitude.
The Staff Accountant will provide accounting, financial, and tax support to our families, serving as trusted fiduciary. The role interacts with G1 team, outside professionals, and clients. As a strategic member you will implement and grow our Accounting Services offering.
About G1 PartnersG1 is a private multi-family office providing financial planning and family office services to ultra-high net worth families nationwide. Located in Park Ridge, IL, a suburb of Chicago. Founded in 2008, with a staff of seventeen.
Roles and ResponsibilitiesWe are seeking a detail-oriented Staff Accountant to support accounting operations. Ideal for early-career professionals eager to gain experience with financial records, reconciliations, and systems.
- Perform general ledger accounting functions:
- Process and record transactions in Quick Books Ledger and Sum It.
- Conduct monthly reconciliations to custodian data, alternative investment data, and close accounting periods.
- Conduct annual reconciliations to 1099s/K-1s for tax reporting.
- Assist with onboarding client relationships onto new accounting platforms (Sum It and Quick Books Ledger).
- Convert existing data from outside accounting firms.
- Set up entities not currently on a general ledger system.
- Prepare and analyze financial statements for family office clients.
- Generate core financial statements and oversee profits‑interest calculations.
- Coordinate with internal Tax Specialist to provide accounting reports for outside CPA tax compilation.
- Assist with year‑end compliance and 1099 filings.
- Assist the Director of Accounting with development and implementation of controls, policies, and procedures.
- Perform other duties as assigned.
- Maintain and update the general ledger using Quick Books Ledger and Sum It, ensuring accuracy and proper documentation.
- Perform monthly reconciliations of brokerage statements, identifying and resolving discrepancies.
- Assist with annual reconciliation of 1099s and K-1s.
- Support implementation of new accounting software, including data migration, testing, and process documentation.
- Assist with month-end and year-end close activities as needed.
- Organize and maintain financial records in compliance with company policies and accounting standards.
- Bachelor’s degree in Accounting, Finance, or related field.
- 3+ years of accounting or bookkeeping experience preferred.
- Familiarity with Quick Books or similar accounting software.
- Strong attention to detail and organizational skills.
- Understanding of accounting principles and financial statements.
- Proficiency with Microsoft Excel and other standard office tools.
- Ability to manage multiple tasks and meet deadlines.
- Experience with brokerage accounts or investment-related reconciliations.
- Interest in accounting systems and process improvement.
- Family office experience a plus.
- Strong communication skills and willingness to learn.
- Knowledge of Quick Books Ledger, , Sum It, and Addepar a plus.
- Candidate must provide 3 references and agree to a full background check.
- Competitive compensation based on experience.
- Health, dental, disability, life insurance, and 401k benefits.
- Hybrid position; located in our Park Ridge office.
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