Related skills
excel microsoft office financial statements bank reconciliation wordπ Description
- Monitor day-to-day financial transactions: AR/AP, classify and record.
- Prepare journal entries such as loans, taxes, bank fees, 401(k) deductions.
- Conduct monthly reconciliations of bank accounts, sales tax, payroll taxes, and 401(k).
- Monitor and/or prepare monthly financial statements and supporting documents.
- Credit card management and reconciliation.
- Collaborate with in-house Consulting Controllers and CFOs.
π― Requirements
- Authorized to work in the United States.
- Prior hands-on accounting experience.
- Proficiency in Microsoft Office including Excel, Word, Outlook.
- QuickBooks Online knowledge a plus.
- Strong client interaction and written/verbal communication skills.
- Ability to work well independently and with a team.
π Benefits
- Competitive benefits after 30 days.
- Medical benefits 70% company paid, PTO, and life insurance.
- Veteran-friendly workplace.
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