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Corporate Bookkeeper​/Staff Accountant

Job in Ventura, Ventura County, California, 93006, USA
Listing for: Ledgent
Full Time position
Listed on 2026-09-12
Job specializations:
  • Accounting
    Bookkeeper/ Accounting Clerk, Accounts Receivable/ Collections, Accounting Assistant, Accounts Payable Clerk
Salary/Wage Range or Industry Benchmark: 52000 - 74000 USD Yearly USD 52000.00 74000.00 YEAR
Job Description & How to Apply Below

This position is responsible for supporting corporate financial operations and bookkeeping functions. Responsibilities include invoice processing, account reconciliations, accounts payable and receivable activities, cash management, maintaining financial records, and assisting with reporting and compliance requirements. The ideal candidate is hands‑on, detail-oriented, and capable of improving processes to ensure accurate and timely financial reporting.

Essential Duties & Responsibilities

The statements below describe the general nature and scope of work performed by this position and are not intended to be an exhaustive list of duties and responsibilities.

  • Process invoices, including coding and entry into the accounting system.
  • Review and process payments with appropriate supporting documentation and approvals.
  • Prepare and process daily and weekly bank deposits.
  • Record revenue receipts and journal entries in the accounting system.
  • Collect, maintain, and monitor vendor documentation, including W-9 forms and certificates of insurance.
  • Process accounts payable, accounts receivable, and journal entries related to third‑party property management activities.
  • Maintain financial records, agreements, and supporting documentation.
  • Prepare and process annual 1099 forms, ensuring compliance with IRS reporting requirements.
  • Prepare and submit annual regulatory and compliance filings.
  • Assist with special projects related to real estate development and financial analysis.
  • Perform monthly bank reconciliations.
  • Provide financial and administrative support to senior finance leadership as needed.
  • Serve as backup support for accounting and bookkeeping functions.
  • Maintain reporting calendars and ensure timely completion of required filings and reports.
  • Scan, organize, and maintain electronic document files.
  • Attend training sessions and professional development opportunities as required.
Bookkeeper Position Summary

This position is responsible for supporting corporate financial operations and bookkeeping functions. Responsibilities include invoice processing, account reconciliations, accounts payable and receivable activities, cash management, maintaining financial records, and assisting with reporting and compliance requirements. The ideal candidate is hands‑on, detail-oriented, and capable of improving processes to ensure accurate and timely financial reporting.

Essential Duties & Responsibilities

The statements below describe the general nature and scope of work performed by this position and are not intended to be an exhaustive list of duties and responsibilities.

  • Process invoices, including coding and entry into the accounting system.
  • Review and process payments with appropriate supporting documentation and approvals.
  • Prepare and process daily and weekly bank deposits.
  • Record revenue receipts and journal entries in the accounting system.
  • Collect, maintain, and monitor vendor documentation, including W-9 forms and certificates of insurance.
  • Process accounts payable, accounts receivable, and journal entries related to third‑party property management activities.
  • Maintain financial records, agreements, and supporting documentation.
  • Prepare and process annual 1099 forms, ensuring compliance with IRS reporting requirements.
  • Prepare and submit annual regulatory and compliance filings.
  • Assist with special projects related to real estate development and financial analysis.
  • Perform monthly bank reconciliations.
  • Provide financial and administrative support to senior finance leadership as needed.
  • Serve as backup support for accounting and bookkeeping functions.
  • Maintain reporting calendars and ensure timely completion of required filings and reports.
  • Scan, organize, and maintain electronic document files.
  • Attend training sessions and…
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