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Job Description
- Monthly reconciliation of bank, credit card, cash, and other balance sheet accounts.
- Data entry of expense and capital transactions using electronic feeds, download, and import, or direct from hard copy source documentation.
- Monthly transaction analysis to ensure proper coding.
- Correctly enter startup transactions.
- Assist with payroll data entry.
- Prepare and communicate monthly financial reports to clients.
- Reconciliation of product payments with the product received
Job Requirements
- Fluency in English is a must
- Proficiency in Quickbooks and Microsoft Office.
- 2-3 years of Bookkeeping experience
- Interpersonal acumen includes the ability to build and maintain multiple, positive customer service relationships.
- Computer/internet literate with strong writing, analytical, and problem-solving skills.