Description
OVERVIEW:
At Fortis, we lead the way in next generation payment technologies and solutions. We transform payments into a competitive advantage for our clients and partners, enabling businesses to reach uncharted growth and scale. As the solution of choice for the future of payments, Fortis moves payments closer to invisible with a proprietary platform that supports and strengthens the payments capabilities of merchants and software partners. We are a collaborative team of innovators, problem solvers, and builders, committed to the growth of our clients, partners, and team members. Through award winning software integrations, robust data, and industry vertical and commerce expertise, we deliver the ultimate frictionless commerce experiences. We are in hyper growth mode and seeking talented, innovative, and collaborative problem solvers to help us build and scale the future of payments. Grow your career with us and be on the cutting edge of the rapidly expanding FinTech payments space.
ESSENTIAL DUTIES:
Cash Management
- Record general ledger entries for all bank activity and prepare daily and monthly bank account reconciliations
Accounts Receivable
- Generate and issue customer invoices in a timely and accurate manner
- Apply customer payments and monitor Accounts Receivable aging and follow up on past-due balances
- Reconcile the Accounts Receivable subledger to the general ledger monthly
Accounts Payable
- Process vendor invoices, ensuring proper coding, approval, and supportÂ
- Manage payment runs (checks, ACH, wire) and vendor inquiriesÂ
- Reconcile AP subledger to the general ledger monthlyÂ
- Maintain W-9s and assist with 1099 preparation
Fixed Assets
- Maintain the fixed asset ledger, including additions, disposals, and transfersÂ
- Calculate and record monthly depreciationÂ
- Reconcile fixed asset subledger to the general ledger monthlyÂ
- Ensure proper capitalization policy compliance
Prepaid Expenses
- Maintain prepaid expense schedules and amortization calculations
- Prepare monthly journal entries to recognize expense over the appropriate period
- Reconcile prepaid asset subledger to general ledger monthly
General Accounting Support
- Assist with month-end and year-end close, including journal entries and account reconciliations
- Support external audit requests with documentation and analysis
- Identify opportunities to improve accounting processes and controls
- Perform other duties and ad hoc projects as assigned
Requirements
QUALIFICATIONS:Â
- Bachelor’s degree in Accounting, Finance, or related field Working knowledge of GAAPÂ
- Proficiency in Microsoft Excel (pivot tables, VLOOKUP/XLOOKUP, formulas) and WordÂ
- Strong attention to detail and accuracyÂ
- Ability to manage multiple deadlines Excellent written and verbal communication skillsÂ
PREFERRED, BUT NOT REQUIRED:Â
- Experience in the payments industry 1-2 years of accounting related experienceÂ
- Experience with Netsuite ERPÂ
- Experience with Ramp Expense Management and Bill Pay
Learn more about this Employer on their Career Site
