Posted August 19, 2026
Accountant
Robert Half
Murphy, NC, US
Full Time
33.25USD - 35USD per hour
Job Description
Job Description
We are looking for an experienced Accountant to support core financial operations for an organization based in North Carolina. This Long-term Contract opportunity is ideal for someone who can manage day-to-day accounting activities, maintain accurate records, and contribute to a well-organized month-end process. The position offers the chance to work across multiple accounting functions while helping ensure timely and reliable financial reporting.
Responsibilities:
• Manage accounts payable and accounts receivable activities, ensuring transactions are processed accurately and within established timelines.
• Prepare and record journal entries to maintain complete and accurate financial data in the general ledger.
• Reconcile bank accounts and investigate discrepancies to support the integrity of cash records.
• Review account balances and supporting documentation to help maintain accurate monthly financial reporting.
• Assist with month-end and periodic close activities by organizing entries, reconciliations, and related accounting support.
• Monitor accounting records for accuracy and follow up on outstanding items to keep financial information current and complete.• Experience performing accounting work in a business environment that requires attention to detail.
• Working knowledge of accounts payable and accounts receivable processes.
• Ability to prepare journal entries and maintain general ledger accuracy.
• Experience completing bank reconciliations and resolving variances.
• Strong attention to detail with the ability to manage multiple accounting tasks effectively.
• Proficiency using accounting systems and spreadsheet tools to support daily responsibilities.
Responsibilities:
• Manage accounts payable and accounts receivable activities, ensuring transactions are processed accurately and within established timelines.
• Prepare and record journal entries to maintain complete and accurate financial data in the general ledger.
• Reconcile bank accounts and investigate discrepancies to support the integrity of cash records.
• Review account balances and supporting documentation to help maintain accurate monthly financial reporting.
• Assist with month-end and periodic close activities by organizing entries, reconciliations, and related accounting support.
• Monitor accounting records for accuracy and follow up on outstanding items to keep financial information current and complete.• Experience performing accounting work in a business environment that requires attention to detail.
• Working knowledge of accounts payable and accounts receivable processes.
• Ability to prepare journal entries and maintain general ledger accuracy.
• Experience completing bank reconciliations and resolving variances.
• Strong attention to detail with the ability to manage multiple accounting tasks effectively.
• Proficiency using accounting systems and spreadsheet tools to support daily responsibilities.
