We are looking for a Staff Accountant to support day-to-day financial operations and help maintain accurate reporting for our Midland, Texas team. This position plays an important role in keeping accounting records current, supporting compliance activities, and contributing to the overall financial health of the organization. The ideal candidate brings a strong foundation in general ledger activity, tax preparation, and account reconciliation, along with a detail-oriented approach to financial accuracy.<br><br>Responsibilities:<br>• Maintain complete and accurate financial records by recording transactions and updating accounting documentation on a regular basis.<br>• Prepare journal entries and support general ledger activity to ensure timely and reliable month-end accounting processes.<br>• Review financial reports and supporting data to confirm accuracy and alignment with applicable regulations and accounting standards.<br>• Complete bank reconciliations each month and investigate discrepancies to keep cash records balanced and current.<br>• Prepare and file corporate tax and sales tax documents in accordance with reporting deadlines and compliance requirements.<br>• Examine account activity and bookkeeping records to identify errors, improve accuracy, and strengthen financial controls.<br>• Assemble schedules, reports, and supporting materials needed for external audit requests and year-end review activities.<br>• Analyze financial information and provide practical recommendations that support cost management and revenue improvement efforts.
We are looking for an experienced Sr. Accountant to support the organization’s financial operations in Big Spring, Texas. This role is responsible for maintaining accurate records, preparing financial reporting, and helping ensure the integrity of key accounting activities across cash, billing, assets, and compliance-related reporting. The ideal candidate brings strong analytical ability, sound judgment, and a collaborative approach to working with finance leadership and cross-functional stakeholders.<br><br>Responsibilities:<br>• Prepare financial statements, record journal entries, and produce internal reports that support timely and accurate month-end and ongoing financial review.<br>• Reconcile balance sheet and income statement accounts, analyze variances, and identify issues that require correction or follow-up.<br>• Manage district banking activity by monitoring accounts, completing reconciliations, and coordinating deposits and fund transfers.<br>• Administer accounts receivable records related to water sales, including invoicing, usage reporting, and follow-up on outstanding balances.<br>• Oversee billing activities for lake lots, dock permits, water removal, grass leases, pipeline agreements, and loading rack services.<br>• Maintain fixed asset records by tracking additions, calculating depreciation, and updating disposal schedules as needed.<br>• Support recurring investment and debt-related reporting, including scheduled monthly, quarterly, and semi-annual obligations.<br>• Partner closely with finance leadership to review procedures, document workflows, investigate discrepancies, and recommend practical solutions.<br>• Provide backup assistance for accounts payable functions when departmental support is needed.