About You:
Assist in month-end close activities and other assigned department related tasks as necessary
Record cash disbursements and receipts prepare accrual entries and reconcile general ledger account balances
Conduct monthly reconciliation of bank and credit card accounts
Assist with Accounts Payable and Accounts Receivable
Manage expense reimbursement system
Support external audit and tax requirements related to specific areas of responsibility including preparation of audit & tax schedules
Assist in the calculation presentation and communication of company wide KPIs
Support leadership in completing special projects ad-hoc reporting and analysis requests and other tasks as assigned
Comply with government reporting requirements
Key Qualifications:
1 to 3 year(s) of accounting/bookkeeping experience (SaaS or startup experience preferred)
Bachelor degree in accounting or finance
Excellent organizational and time management skills
Team player with a strong work ethic
Proficient with Microsoft Office
Proactive self-starter who enjoys a fast-paced environment and an ability to prioritize multi-task and meet pressing deadlines
Excellent interpersonal and strong verbal and written communication skills
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