We are seeking a highly-skilled and detail-oriented Accountant to manage our company's financial tasks, including bookkeeping, preparing financial statements, and ensuring compliance with regulatory standards. The ideal candidate will be analytical, possess a strong ethical compass, and have a proven ability to handle numbers with precision. You will play a key role in maintaining our financial records and contributing to our overall financial strategy.
General Ledger & Bookkeeping: Maintain and update the general ledger, ensuring all financial transactions are properly recorded, documented, and reconciled.
Accounts Payable & Receivable: Process invoices, issue payments, manage cash receipts, and oversee collections to maintain healthy cash flow.
Financial Reporting: Prepare timely and accurate monthly, quarterly, and annual financial statements (Balance Sheet, Income Statement, Cash Flow Statement).
Bank Reconciliations: Perform monthly bank and credit card reconciliations to ensure accuracy between company records and bank statements.
Payroll Processing: Assist with or manage the preparation and processing of semi-monthly or bi-weekly payroll.
Tax Preparation & Compliance: Assist in the preparation of sales tax, use tax, and other business tax filings. Support the annual corporate tax return process.
Audit Support: Provide necessary documentation and support during internal and external audits.