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Staff Accountant

Job in Washington, District of Columbia, 20001, USA
Listing for: Robert Half
Full Time position
Listed on 2026-08-20
Job specializations:
  • Accounting
    Financial Reporting, Staff Accountant, Accounts Receivable/ Collections, Senior Accountant
  • Finance & Banking
    Financial Reporting, Accounts Receivable/ Collections
Job Description & How to Apply Below

Staff Accountant

We are looking for a staff accountant to join our team in Nottingham, Maryland in a contract-to-permanent capacity. This role is ideal for an accounting specialist who enjoys balancing daily transactional work with month-end and year-end responsibilities while maintaining accurate financial records. The position will support core accounting operations, help ensure timely close activities, and contribute to audit readiness through organized documentation and strong general ledger discipline.

Responsibilities:

  • Execute accounts payable disbursements through multiple payment methods, ensuring invoices and supporting records are reviewed for completeness before release.
  • Prepare employee expense reimbursements and provide regular reporting to payroll for timely processing.
  • Handle remote deposit activity by submitting deposit information to the bank and posting related entries within the general ledger.
  • Record incoming cash and receivable activity accurately, while maintaining organized backup documentation for each transaction.
  • Create and post journal entries tied to daily operations, monthly close tasks, and year-end accounting requirements.
  • Review accounting entries prepared by other finance team members for accuracy and proper general ledger posting.
  • Oversee fixed asset accounting by setting up new assets, tracking retirements, calculating monthly depreciation, and reconciling subledger balances to the general ledger.
  • Complete bank reconciliations, investigate discrepancies, and record necessary adjustments in a timely manner.
  • Maintain balance sheet account reconciliations, construction-in-progress tracking, and other supporting schedules needed for financial reporting.
  • Support month-end close, annual budget uploads, record retention, and audit requests by preparing documentation and responding to information needs.
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