Vacancy expired!
- Prepare financial statements, Cash Flow and P&L analysis
- Responsible for fixed assets and depreciations schedules
- Maintain capital lease and monthly payment schedules
- Develop and implement accounting procedures by analyzing current procedures and recommending changes
- Assist with budget preparation and variance analysis, audits and other accounting projects in the office
- Record payroll and payroll related transactions.
- Review and process credit card reconciliation ensuring the receipts are submitted by cardholders on monthly basis.
- Prepare S&U tax returns and business property tax providing transaction review support.
- Bachelor's degree in Accounting or Finance required
- 5-7 years' experience with financial statement analysis, budgeting, reconciliations and payroll
- 2 years' experience in preparing S&U tax returns for various states
- Foreign currency transactions/recording is a plus
- NetSuite experience
Vacancy expired!