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Consulting and Outsourcing Staff - Spring 2025 - Albuquerque, NM

💼 Graduate Job


AI generated summary

  • You need a bachelor's degree in accounting/finance, strong communication skills, attention to detail, ability to handle pressure positively, willingness to learn new technologies, knowledge of accounting principles/ regulations, and proficiency in MS Windows/Office. Be reliable, accountable, and have a passion for impactful work.
  • You will prepare journal entries, reconcile accounts, analyze financial statements, complete bank reconciliations, assist with audits, and ensure compliance with filings. Assist in tax preparation and provide finance and accounting support as needed.

Graduate Job



  • This position provides an outstanding opportunity to grow your career as you contribute to the success of clients’ businesses or organizations. This is a full-time, long-term career opportunity serving multiple CLA clients on a permanent, part-time basis; it is not an outsourced temporary position.


  • Bachelor's degree required; bachelor’s degree in accounting or finance preferred.
  • Exemplify our CLA values – curious, collaborative, transparent, inclusive, and reliable.
  • Passion for doing impactful work, accountability for actions, initiative to make visions a reality, integrity that places honesty and trust above all else, professionalism, and conscientiousness.
  • Strong verbal/written communication and interpersonal skills.
  • Strong organization skills/goal orientation/self-motivation.
  • Ability to handle pressure in a positive professional manner.
  • Strong attention to detail.
  • General knowledge of accounting principles and/or regulations impacting each engagement or project and reporting of financial data.
  • Willingness to learn new technologies.
  • Aptitude to develop a thorough working knowledge of accounting software and systems, i.e. QuickBooks, Yardi, Xero, Sage.
  • Proficient with Microsoft (MS) Windows and Office products.
  • Reliable transportation and ability to travel to client sites.

Education requirements


Area of Responsibilities



  • Prepare and record standard journal entries for asset, liability, revenue, and expenses by compiling and analyzing the general ledger account information.
  • Maintains and balances accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies.
  • Research and make correcting journal entries for account discrepancies, prepare closing journal entries, posts accrual entries, and prepare required management reporting.
  • Prepare assigned portion of the monthly and annual financial statements and disclosures.
  • Complete bank reconciliations and merchant service statements, monthly.
  • Provide assistance and backup to other areas in finance and accounting.
  • Assist with the preparation of audit workpapers and answer audit questions.
  • Complete local business and compliance filings.
  • Prepare analysis of revenue and operating expense sections, including narratives.
  • Provide assistance and backup to other areas in finance and accounting.
  • Record business transactions into ERP system (Cash, A/P, PPE, general journal entries, etc.).
  • Assist in the preparation of tax documents.


Work type

Full time

Work mode