Staff Accountant – NW Houston –

• Compile financial information and prepare entries to accounts, such as general ledger accounts; document business transactions; and reconcile and close Company accounts on a monthly basis.
• Perform general ledger duties to assist with monthly activity and closings.
• Perform monthly reconciliation of balance sheet accounts to general ledger balances.
• Prepare monthly bank reconciliations for specified accounts and may analyze daily bank account activity.
• Analyze and document variances in account balances between periods.
• Prepare various schedules required for internal and external reporting
• Assist with the preparation of quarterly and annual filings.
• Assist with special projects as needed.

• Bachelor’s degree in Accounting or Finance or a related field or the equivalent education and/or experience
• Work towards CPA designation preferred

Staff Accountant – NW Houston location –

Essential Duties and Responsibilities:

Prepare daily cash reconciliations from club deposit slips to bank activity

Prepare credit card settlement reconciliation

Determine general ledger location and department coding for journal entries

Responsible for reconciliation of general ledger cash accounts

Research reconciling variances

Analyze bank charges and make suggestions to control costs

Set up, monitor, and maintain internal controls and ensure club compliance

Coordinate cross-functionally in various areas, including operations and club management

Document policies and procedures in a multi-system environment

Develop improvements in cash reconciliation process

Assist with month end close requirements, reporting, and deadlines

Perform other related duties as directed by manager

Intercompany Accountant – Oil and Gas – Beltway and 290 – to 70K EMAIL:

Intercompany (IC) Position Duties

1. Reconcile monthly IC/GIS activity against Oracle Local GL and Consolidated GL monthly activity to make sure they all match each other in USD. Contact appropriate personnel about variances that need to be corrected by Preliminary close each month.
2. Review and compare IC sub-ledgers in Excel to Unsettled Reports in GIS for accuracy and matching each other.
3. Help prepare IC invoices & backup (creating & printing relating to netting IC AR & IC AP and clearing old IC balances (acct. 120004).
4. Help from time to time to enter IC invoices into GIS in time crunch.
5. Prepare IC JE entries each month and review & post IC JE entries in Oracle GL.
6. Run queries on IC/GIS account activity.
7. For local audits confirm that year end IC balances kept locally agree or disagree with balances (IC sub-ledgers) kept by Corporate IC/GIS dept.
8. Oversee that the yearly revaluation of IC balance sheet account balances is done only on companies where it is allowed by local statutory laws & entity does not do monthly revaluations of IC accounts already.
9. Respond to inquiries from various personnel across the world about what makes up IC balances (detail), issues with accessing Oracle GIS, need training manuals & examples for entering IC invoices into Oracle GIS, needing copies of entered IC invoices & support backup, and IC invoice templates for various IC transactions types in a timely manner.
10. Reconcile Oracle Local to Statutory Local for IC balance sheet accounts by obtaining detail data from field offices to be able to compare IC invoice by IC invoice between Oracle Local/GIS and Statutory Local. Document which IC invoices are causing the problem and note why the IC invoice(s) were not allowed in Statutory Local books. (Preferably before an entity is converted to Oracle as the main accounting system for them).

• Bachelor degree in Accounting, CPA preferred but not required
• 3-5 years of experience
The person should be knowledgeable of US GAAP and advanced Excel skills would be preferred. The person should have a working knowledge of Oracle 11i (IC, GL, AR, & AP), ADI (Oracle), and Discoverer (Oracle) software, although not essential. Knowledge of Monarch software would be beneficial but not required.

Staff Accountant – NW Houston –

50 to 55K plus 10% bonus


Assist with the preparation of financial statements on a weekly, periodic and annual basis for the accounting management team

Prepare and complete journal entries by compiling and analyzing source data associated with the assigned areas of responsibility

Conduct analytical review of accounts prior to the closing of the books each period

Prepare general ledger reconciliations

Identify potential improvements in work flow processingAssist with process and procedure documentation

Perform various month end analysis and reviews to help ensure timely and accurate reporting within the financial statements of the company

Prioritize and meet deadlines and complete projects in a timely manner


Bachelor Degree in Accounting,

2-3 years of hands on general accounting experience

Computer skills – Excel, Word, PowerPoint & Access

Diane Delgado LeMaire| Senior Managing Director, Accounting & Finance Recruiting | Creative Financial Staffing, a division of Fitts, Roberts CPA Firm | 5718 Westheimer Suite 800 | Houston, TX 77057 |713-260-5238