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Accountant I
Perry HomesAccountant I supporting Treasury function by reviewing bank activity, preparing journal entries, and reconciling accounts. Contributing to company-wide financial reporting and compliance.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in cash management, bank transaction reconciliation, and financial reporting. Proficient in preparing journal entries and maintaining accurate financial documentation.
Highest-signal resume keywords
Cash ManagementBank ReconciliationJournal Entry PreparationMS Dynamics 365Financial Reporting
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
AccountingLedger ReconciliationVariance ResearchAccrual AccountingFinancial Analysis
Soft Skills
CommunicationCollaboration
Tools & Technologies
MS Dynamics 365
Industry Keywords
Treasury AccountingFinancial TransactionsJob CostsOverhead ExpensesProperty Financials
About the role
Key responsibilities & impact- Review daily cash activity companywide and ensure bank transactions are accurately identified, coded, supported, and recorded.
- Prepare and submit journal entries to accurately record cash, banking, and other financial transactions of the Company, including but not limited to the following:
- Lot and land acquisitions;
- Job costs and overhead expenses; and
- Monthly accruals.
- Prepare ledger and account reconciliations, including researching variances, resolving discrepancies, and maintaining supporting documentation.
- Prepare and maintain schedules and reports to track, analyze, and communicate treasury-related and financial activity of the Company, including but not limited to the following:
- Monthly reporting of sales, releases, and closings;
- Financial schedules and worksheets of the Company’s property;
- Overhead analysis
- Research unidentified, unusual, or unmatched bank transactions and coordinate with internal departments to obtain proper support and coding.
- Communicate with department and construction personnel to obtain support, clarify transaction details, and ensure financial activity is accurately recorded and communicated.
Requirements
What you’ll need- High School Diploma or equivalent required; college degree in accounting preferred.
- At least 1 year of relevant accounting experience is preferred.
- Exposure to cash management, bank transactions, reconciliations, or treasury-related accounting activity is preferred.
- Experience working in MS Dynamics 365 preferred
Benefits
Comp & perks- Medical, dental, vision coverage
- Financial Planning
- Time Off & Life Balance
- Family & Lifestyle
- Opportunities for growth and development
- Culture that is collaborative, inclusive, fast-paced, people-first
- Stable company with strong reputation in the market