Sr Staff Accountant
Listed on 2026-08-04
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Accounting
Financial Reporting, Accounts Receivable/ Collections, Accounting Manager, Senior Accountant
Smart Source is a national provider of print, promotional products, branded merchandise, marketing services, and business process outsourcing solutions. Through an extensive supplier network, technology-enabled sourcing capabilities, print-on-demand solutions, inventory management, fulfillment, and brand management services, Smart Source helps customers improve procurement efficiency, control costs, and maintain brand consistency across their organizations.
Position SummarySmart Source is seeking an experienced, detail-oriented Senior Staff Accountant to join its Finance & Accounting team. This role will take ownership of significant accounting areas across cash, billing, accounts receivable, accounts payable, inventory, and the general ledger. The Senior Staff Accountant will lead assigned portions of the month-end close, prepare and review account reconciliations, analyze financial activity, support audits, and help ensure transactions are recorded accurately and consistently.
The position is well suited for an experienced accounting professional who can work independently, exercise sound judgment, manage competing deadlines, and connect operational activity to its financial-statement impact. The individual will work closely with the Corporate Controller, provide guidance to less-experienced accounting team members, and partner with employees across the organization, including remote and satellite offices.
Smart Source is transitioning its ERP environment from Demand Bridge to Microsoft Dynamics 365 Business Central. Experience with either platform is helpful but not required; the successful candidate will be expected to take an active role in testing, reconciliation, data validation, process design, control development, and documentation associated with the transition.
Key Responsibilities General Ledger & Month-End Close- Independently prepare, review, and post journal entries and supporting documentation for assigned accounting areas.
- Own monthly balance sheet and general ledger account reconciliations for assigned areas, research variances, and resolve reconciling items on a timely basis.
- Lead assigned portions of the month-end and year-end close, monitor completion of required tasks, and ensure work is performed in accordance with established deadlines and accounting policies.
- Prepare and review schedules, analyses, and supporting documentation for management reporting, external audits, and other financial reporting requirements
- Prepare and record daily cash deposits and cash receipt activity.
- Review bank reconciliations, investigate outstanding or unusual items, and coordinate timely resolution.
- Review summary billing, billing corrections, and related adjustments for accuracy, completeness, and appropriate accounting treatment.
- Post and reconcile credit card transactions for designated customers.
- Review customer and vendor master-data activity and help enforce appropriate documentation, approval, and segregation-of-duties controls.
- Provide technical and operational accounting support across accounts receivable, accounts payable, cash disbursements, and related transaction cycles, including resolution of complex or unusual items.
- Own monthly inventory reconciliations between operational systems, subledgers, and the general ledger, including analysis and resolution of differences.
- Analyze inventory, freight, warehouse, and cost discrepancies; determine root causes; and coordinate corrective action with operational teams.
- Partner with the Inventory Manager to ensure warehouse, freight, and other applicable charges are properly assigned to the appropriate customer, order, or account.
- Prepare and review inventory-related month-end entries, adjustments, reserve analyses, schedules, and audit documentation.
- Maintain and improve documented accounting policies, procedures, reconciliation standards, and internal controls for assigned processes.
- Identify recurring accounting or process issues, recommend solutions, and lead implementation of improvements that increase accuracy, efficiency, control, and consistency.
- Serve as a key accounting resource during the transition from Demand Bridge to Microsoft Dynamics 365 Business Central, including testing, reconciliation, data validation, issue resolution, process design, and documentation.
- Use advanced Excel and other reporting tools to analyze large data sets, compare system outputs, investigate discrepancies, and support accounting and operational decisions.
- Provide guidance and review support to less-experienced accounting team members and perform additional accounting projects assigned by the Corporate Controller.
- Bachelor's degree in Accounting or Finance required; an equivalent combination of education and substantial relevant accounting experience may be considered.
- Approximately 4-7 years of progressive accounting experience, including meaningful responsibility for general ledger…
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