At ABA Tech , we’re growing our finance team and looking for a detail-oriented Staff Accountant to support reconciliations, AP processes, and month-end close activities.
What you’ll do
Perform bank, AP, prepaid, and fixed asset reconciliations
Prepare journal entries and support month-end close
Analyze and resolve unmatched transactions
Reconcile AP aging and identify discrepancies
Work with NetSuite & Coupa to ensure accurate financial data
Track and manage accruals and prepaid expenses
What we’re looking for
Bachelor’s degree in Accounting, Finance, or related
1–3 years of experience in accounting (GL / AP / reconciliations)
Experience with NetSuite (required) and Coupa (plus)