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Senior

Staff Accountant

CRAA Columbus Regional Airport Authority · Columbus, Ohio

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Goes straight to the employer's own hiring page. We never sit in between.

Pay$68k to $73k a year
LevelSenior · Accounting
Work modeNot stated
CPA exam supportNot mentioned
CPA licenseNot mentioned
Experience3 years+
PostedSep 16, 2026
Found by usSep 29, 2026
Last checkedOct 8, 2026

Quick look

Prepare reconciliations, journal entries, AP AR, fixed assets, budgets and support audits for an airport authority.

A few years in, CPA in progress

Worth knowing: Workday ERP experience preferred

From the posting

The Columbus Regional Airport Authority manages and operates passenger-focused John Glenn Columbus International Airport (CMH), cargo-focused Rickenbacker International Airport (LCK), and general aviation airport Bolton Field (TZR). We are a diverse group of committed and talented professionals who show up every day to take CRAA to new heights. Although our roles are as diverse as we are – from Custodial Services to Customer Service, from Accounting to Airport Police, from HVAC to Human Resources – we have one common goal: connect Ohio with the world. Our organization is in constant motion, moving people and cargo 365 days a year. With our core values of Accountability, Innovation and Respect guiding us, we each do our part to contribute to our organization, the aviation industry, local businesses, and the economy. We create experiences for passengers, we create opportunities for businesses, and we create economic growth for Columbus. Trust and respect are the foundation of our culture. We invite new ideas. We encourage innovation. We are inclusive and welcoming. We are empowered to enact positive change. Your “Take Off” will be successful by doing the following with excellence: Prepares and performs intermediate to advanced level account analysis, reconciliations, and journal entries and assists in the month-end and year-end close process. Performs and reviews accounts payable and accounts receivable processing and provides training to team members. Prepares and performs investments, banking, real estate, and fixed assets accounting and reconciliation. Maintains accurate customer and vendor records in the financial system. Maintains transfer, journal entries, recording depreciation, and overseeing bi-annual inventory of fixed assets and test counts. Prepares and reviews operating and capital budget. Responsible for customer contract invoicing, daily bank deposit processing, accounts receivable aging management and customer collections. Responsible for reviewing, approving, recording, and reconciling employee expense reimbursements and purchasing card transactions. Assists with the external financial audit, financial reporting and IRS 1099/1042 reporting. Participates in organizational and departmental projects and identifies and implements solutions that will support business planning and operational process improvement initiatives.

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