Job Description
Responsibilities
:
Process and record daily financial transactions (accounts payable, accounts receivable, payroll, and bank reconciliations). Prepare monthly financial statements and assist with budget tracking. Maintain and update the general ledger. Reconcile bank accounts, credit cards, and other financial accounts. Assist with invoicing, collections, and managing accounts receivable. Prepare and file sales tax returns, as well as ensure compliance with other local, state, and federal regulations. Assist with year-end financial preparation for tax filing and audits. Collaborate with the accounting team and other departments to ensure accurate financial reporting. Maintain accurate and organized records of financial transactions. Perform ad-hoc financial analysis and reporting as required. F-JP_
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