
1001 - 5000 employees
💸 Finance
🏦 Banking
💼 Consulting
💰 Post-IPO Equity on 2023-07
Finance • Banking • Consulting
B. Riley Financial is a comprehensive financial services firm that offers tailored solutions to meet the capital raising and business advisory needs of its clients. The company operates through various subsidiaries, providing services in investment banking, institutional brokerage, wealth management, financial consulting, corporate restructuring, as well as risk and compliance solutions. Headquartered in Los Angeles, B. Riley has a broad reach across the U. S. and an international presence.
🔥 14 hours ago
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1001 - 5000 employees
💸 Finance
🏦 Banking
💼 Consulting
💰 Post-IPO Equity on 2023-07
Finance • Banking • Consulting
B. Riley Financial is a comprehensive financial services firm that offers tailored solutions to meet the capital raising and business advisory needs of its clients. The company operates through various subsidiaries, providing services in investment banking, institutional brokerage, wealth management, financial consulting, corporate restructuring, as well as risk and compliance solutions. Headquartered in Los Angeles, B. Riley has a broad reach across the U. S. and an international presence.
• Assist the accounting/finance department with month-end close • Support compiling financial information • Complete special projects • Maintain and prepare general ledger account reconciliations • Analyze monthly account activity and prepare related journal entries • Prepare cash receipt entries for check deposit, wire, and ACH transactions • Prepare revenue recognition journal entries and coordinate with the commissions team on direct cash revenue transactions • Prepare weekly bank and cash account reconciliations • Assemble and scan support documents and research cash transactions to determine general ledger coding • Assist with receivables and prepare accounts receivable reporting • Assist with intercompany account reconciliations and occupancy cost share allocations • Assist with monthly reporting by generating system reports and reconciling inventory positions • Assist with state and local personal property tax reports • Prepare monthly balance sheet account reconciliations using standard NetSuite reports • Assist management with audits, research inquiries, schedules, and reports • Process assigned tasks according to daily requirements and monthly close schedule • Protect confidential information • Complete accounting department and organizational tasks as needed
• Bachelor’s degree in Accounting/Finance • Minimum one-year of relevant work experience in accounting • Proficient in Microsoft Office 365, including Excel and Outlook • NetSuite experience is a plus • Ability to perform responsibilities as a team member • Basic understanding of the general ledger close process and generally accepted accounting principles (GAAP) • Self-starter with good communication skills • Deadline-oriented with good time management and organizational skills
• Competitive salaries • 401(k) profit sharing retirement plan • Paid holidays • Vacation • Sick leave • Voluntary group medical insurance • Dental insurance • Vision insurance • Company-paid life coverage • Company-paid disability coverage
Apply Now🔥 17 hours ago
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