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Accountant, Financial Reporting, Financial Analyst

Job in Cleveland, Cuyahoga County, Ohio, 44101, USA
Listing for: KOROZO GROUP
Full Time position
Listed on 2026-02-02
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst
  • Accounting
    Financial Reporting, Financial Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below
Position: Accountant ( USA )

KOROZO established in 1973, we are a leading multinational company specialising in flexible packaging and hygiene component solutions.

Headquartered in Turkey, we have grown to become one of the largest manufacturers in Europe, providing innovative and sustainable packaging solutions for a wide range of industries, including food and beverage, healthcare, personal care, and industrial sectors.

We are known for our use of cutting-edge technology, sustainable products and production processes, and strong focus on quality and customer satisfaction.

With multiple manufacturing facilities and a global distribution network, Korozo Group serves clients in over 80 countries, and is continuously expanding its market reach and product offerings.

Actera Group is the largest private equity firm in Turkey, primarily advising funds with assets exceeding US $3.3 Billion. Funds advised by Actera have generated the highest returns in the asset class from the Turkish market on a consistent basis.

Korozo Group is an equal opportunity employer.

We are committed to providing equal opportunities to all candidates regardless of gender, age, disability, ethnic background, belief, or any other personal characteristic.

We foster an inclusive and diverse workplace culture where everyone feels respected, valued, and empowered to contribute.

Join us on the way to the top and share your experiences.

Learn with Korozo Academy!

Live the Values!

We are looking for a Accountant
;

Requirements
  • Bachelor’s degree in Accounting, Economics, Finance, Business Administration, or a related field from an accredited institution.
  • Minimum 5 years of total experience,
  • Ensure compliance with USGAAP standards and regulatory requirements.
  • Preferably CPA, or seasoned U.S. tax professional with strong experience in individual and business tax preparation across multiple states
  • Proficient in using MS Office programs and SAP,
  • Strong communication skills and organizational skills,
  • Have excellent time management, task management and problem‑solving skills,
  • Strong planning and analytical thinking perspective, high sense of responsibility,
  • Residing in Cleveland / Ohio
Job Description
  • SAP FI/CO Modul knowledge is a positive aspect
  • Support all tax filling and reporting at State/Federal level. Make all necessary communications with CPA.
  • Review a variety of U.S. tax returns (federal and state) and related forms/schedules with CPA.
  • Extract concise insights (e.g., filing status, income sources, deductions/credits, refund/amount-owed drivers, cross-year changes)
  • Create short verification checklists / follow‑up questions an accountant would ask to confirm accuracy or resolve ambiguity
  • Flag anomalies and edge cases (e.g., multi‑state moves, amended filings, AMT, unusual credits, penalties/interest)
  • CPA or EA
    , and strong of experience of hands‑on U.S. individual/business tax preparation across multiple states.
  • Excellent written communication: able to produce crisp, well‑referenced notes and checklists.
  • Detail‑oriented with sound judgment on materiality, consistency, and data quality.
  • Perform month‑end, year‑end closing activities in line with the closing calendar
  • Prepare and post journal entries (accruals, deferrals, reclassifications, provisions) including recording asset acquisitions, disposals, and transfers
  • Calculate and post depreciation entries
  • Reconcile fixed asset sub‑ledger with the general ledger
  • Ensure all transactions are recorded accurately and on time
  • Prepare and review balance sheet account reconciliations (bank, AR, AP, fixed assets, accruals, prepaid expenses)
  • Support preparation of monthly financial statements
  • Provide variance explanations and supporting schedules
  • Assist controlling/finance team with month‑end reporting packages
  • Comfortable working with provided materials and following confidentiality guidelines.
  • Monitors receivables and payables related to customers and vendors, also conducts reconciliation processes.
  • Supports internal/external Audit processes
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