Accounts payable: Manage and process vendor bills, ensure accurate coding and approvals, and issue payments promptly.
Accounts receivable: Ensure the seamless receipt of payments from customers, allocate funds to corresponding invoices, and reconcile any discrepancies.
Payroll: Prepare semi-monthly payroll runs, ensuring accuracy and compliance with relevant regulations.
Credit Card Activity: Monitor adherence to company policies by credit card holders, verify proper coding of transactions for financial statement presentation, and synchronize and reconcile transactions.
Employee Expense Reports: Ensure employee compliance with company policies, verify proper transaction coding for financial statement presentation, process reimbursement reports, and synchronize and reconcile transactions.
Customer and Vendor Interaction: Engage with customers and vendors professionally and promptly to address inquiries and maintain positive relationships.
Assist with Monthly Close: Provide support for month-end closing processes, including journal entries and reconciliations.
Assist with Other Duties and Special Projects: Collaborate on various financial and accounting projects as required.
Requirements
Bachelor's degree in Accounting, Finance, or related field.
Strong proficiency in Microsoft Office applications, particularly Excel.
Working knowledge of QuickBooks is required; familiarity with Bill.com, Expensify, Ramp and UKG is a plus.
Previous work experience in the accounting field is advantageous.
Ability to work independently, manage time effectively, and meet deadlines.
Excellent verbal and written communication skills.
Benefits
A description of our employee benefits may be found HERE