Sr. Asset Accountant

Urban Grid Solar Projects, LLC

$80K — $95K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • BS degree in Accounting or Finance
  • 5+ years of comprehensive accounting experience
  • Advanced proficiency in MS Office and accounting software
  • Netsuite and Onestream experience strongly preferred
  • Solid understanding of bookkeeping and accounting standards
  • High attention to detail and accuracy
  • Excellent communication skills, both oral and written

Responsibilities

  • Oversee all accounting tasks for assigned assets, ensuring full compliance and accuracy
  • Generate monthly financial reports in a timely manner for assigned assets
  • Prepare documentation for external partners and audits
  • Collaborate with Asset Managers and business teams for reporting support
  • Facilitate and contribute to month-end and year-end closing processes
  • Review and verify the accuracy of vendor invoices
  • Conduct financial variance analysis and balance sheet reconciliations

Benefits

  • Opportunity to work in renewable energy sector with meaningful impact
  • Collaboration with cross-functional teams to drive efficient processes
  • Exposure to cutting-edge accounting software (Netsuite and Onestream)
  • Professional development opportunities in specialized accounting practices
  • Flexible work environment with potential for remote work options
Full Job Description
The Senior Asset Accountant supports accounting and financial management for large-scale wind, solar and battery-storage operations, working with multiple internal and external teams to ensure accurate reporting, compliance, and efficient asset accounting processes. Responsibilities • Oversee full-cycle accounting functions for assigned assets, ensuring accuracy, policy compliance, GAAP adherence, and regulatory compliance. • Produce accurate and timely monthly financial reports for assigned assets. • Prepare reports and documentation for third-party partners and external audits. • Partner with Asset Managers, FP&A and business teams to support monthly and quarterly reporting. • Support and complete month-end and year-end close processes. • Review the classification accuracy of vendor and subcontractor invoices. • Perform financial variance analysis. • Perform balance sheet reconciliation • Support production of quarterly and annual financial statements. • Establish and maintain accounting processes. • Other duties as assigned Requirements • BS degree in Accounting or Finance • 5+ years of accounting experience, covering multiple areas of accounting including reporting • Advanced computer skills on MS Office, accounting software and databases • Netsuite and Onestream experience preferred • Proven knowledge of bookkeeping and accounting principles, practices, standards, laws, and regulations • High attention to detail and accuracy • Excellent oral and written communication skills • Ability to work independently • Strong work ethic and high work standards • Must have strong organizational capacity to simultaneously manage multiple assets with competing deadlines and be able to quickly adapt to changes and shift priorities to meet asset needs and deadlines Location: Preferred location is Gatineau, QC

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