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General Ledger Accountant

Job in Troy, Oakland County, Michigan, 48083, USA
Listing for: Venteon
Full Time position
Listed on 2026-08-15
Job specializations:
  • Accounting
    Financial Reporting, Senior Accountant, Cost Accountant
  • Finance & Banking
    Financial Reporting
Salary/Wage Range or Industry Benchmark: 35 - 45 USD Hourly USD 35.00 45.00 HOUR
Job Description & How to Apply Below

VENTEON and Harvard Resource Solutions are hiring a General Ledger Accountant to provide support in Troy, MI. You will provide support for a large automotive supplier conducting full cycle accounting, general ledger coding, account reconciliations, and month end close.

POSITION TYPE: Full time. Long Term Contract. Hybrid.

PAY: $35.00 - $45.00 per hour (based on education and skill level). Health/Dental/Vision/Holidays after 90 days

Requirements of the General Ledger Accountant:

  • Degree in Accounting , Finance, Business or similar required.
  • Automotive / Manufacturing industry experience is desirable.
  • 4+ years of experience in Accounting that includes account and balance sheet reconciliations, journal entries, and month end close.
  • Experience working at a company with multiple locations.
  • Strong analysis skills and attention to details.
  • Technical skills: MS Office (Intermediate to advanced Excel),

    Experience with ERP Systems. SAP S4

    Hanna, HFM, or One Stream highly preferred.
  • Ability to interview and start quickly and pass a background check.

Duties of the General ledger Accountant:

  • Support accounting activities for assigned group of divisions.
  • Work cross functionally with the North America Accounting team.
  • Take part in all month end close processes.
  • Responsible for full cycle accounting and transactions.
  • Create journal entries with accurate coding of GL accounts and cost centers. Assist in preparing entries for the group’s investments and financing operations such as external investments, revaluations/adjustments.
  • Perform complex GL postings and reconciliations to ensure accuracy on financial reporting and to identify and correct any unusual items.
  • Reconcile all balance sheet and key income statement accounts.
  • Complete dataloads for financialconsolidation to One Streamfor actuals and forecast/budgets.
  • Identify areasof improvement fortransaction level processingwithin the department.
  • Adhere to accounting policies, controls, and procedures relating to Company-wide policies.
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