[İş Radarı](https://jobradar.live/) / [Jobs](https://jobradar.live/ilanlar) / Senior Accountant, CPA

Active
On-site
Charlotte Metro
Posted · 13.09.2026
LinkedIn Jobs US

# Senior Accountant, CPA

RCS Logistics Inc.

At RCS Logistics, we believe a great company is built by great people. We combine the reach and experience of an established international logistics company with the energy, accessibility and entrepreneurial spirit of a growing organization. We're building a high-performing, people-first company where great ideas are welcomed, hard work is recognized and team members collectively feel like they're part of a special organization. If you're looking for more than just your next job—and want the chance to make a real impact alongside a team that genuinely cares about one another—RCS may be the place for you. RCS is seeking an experienced Senior Accountant to join our Finance & Accounting team located in our global headquarters in Charlotte, NC. This is a new position that will be a hands-on role responsible for supporting the company's accounting function, financial reporting, internal controls, and overall financial accuracy as the organization continues to grow. The ideal candidate will have a strong technical accounting background and experience with month-end close, general ledger accounting, balance sheet reconciliations, financial reporting, and accounting operations. A CPA license is strongly preferred, and experience working within an international organization is highly desirable. This individual will work closely with the Senior Director of Finance & Accounting and will serve as a key accounting resource for financial reporting, technical accounting matters, process improvement, and internal controls. Key Responsibilities: Financial Reporting & Month-End Close Lead the monthly, quarterly, and annual financial close process in coordination with the Senior Director of Finance & Accounting. Prepare timely and accurate monthly financial statements, including the income statement, balance sheet, and cash flow statement. Review general ledger activity, journal entries, accruals, prepaid expenses, fixed assets, depreciation, and other month-end adjustments. Prepare and review balance sheet reconciliations and investigate outstanding or unusual items. Maintain appropriate supporting schedules and documentation for significant accounts. Ensure financial reporting is consistent with U.S. GAAP and company accounting policies. Assist with monthly financial results, variance analysis, and identification of significant trends or accounting issues. Cash & Working Capital Support Prepare cash reporting and complete bank and cash reconciliations. Assist with maintaining and updating short-term cash flow forecasts. Provide accurate accounting information to support cash flow forecasting, payment planning, and liquidity management. Work closely with Finance leadership to identify accounting or operational issues affecting cash flow and working capital. Provide accounting and reporting support for treasury activities as needed. Budgeting, Forecasting & Financial Analysis Support the annual budgeting and forecasting process by preparing financial data, schedules, and analysis. Assist with monthly comparisons of actual financial results against budget and forecast. Research and explain significant variances and trends. Prepare financial information and analysis to support Finance leadership in financial planning and business decision-making. Tax, Compliance & External Relationships Coordinate day-to-day requests with external tax accountants and other professional advisors. Prepare schedules and supporting documentation for federal, state, and local tax filings. Maintain organized financial records and supporting documentation. Assist with regulatory, tax, and other financial compliance requirements. Internal Controls, Systems & Process Improvement Maintain strong controls over financial information within the company's accounting and operational systems. Assist with developing, documenting, and improving accounting procedures and internal controls. Work with internal teams to improve financial reporting and data integrity. Identify opportunities to automate reconciliations, reporting, and recurring accounting processes. Help standardize accounting processes and ensure consistent procedures across domestic and international teams. Qualifications Bachelor's degree in Accounting, Finance, or related field required. Active CPA license strongly preferred. 3+ years of progressive accounting experience, including meaningful responsibility for month-end close and financial reporting. Prior Senior Accountant, Accounting Manager, Assistant Controller, or similar experience preferred. Strong understanding of U.S. GAAP and financial statement preparation. Experience with balance sheet reconciliations, general ledger accounting, accruals, fixed assets, and financial controls. Experience working with external tax and accounting professionals. Experience in a privately held, multi-entity, or international organization preferred. Freight forwarding, logistics, transportation, or similar industry experience is a plus. Advanced Excel skills and strong financial systems aptitude.

This job was verified from LinkedIn Jobs US. Applications are completed on the original source.

[Apply on the original listing ↗](https://jobradar.live/ilan/f4994cdb-fc27-410c-8c03-a6f13963e5b4/git)

## Stop searching one by one for roles like this.

Upload your resume or enter your target roles to see your first 3 matches for free.

[Find jobs for me →](https://jobradar.live/uye/kayit)
Your resume is never shared with employers; it is processed only for matching.

Something wrong with this job?
