Job description:
Utilize accounting software NetSuite is needed prepares monthly, quarterly, and annual financial statements (Balance sheet P&L, AR and AP Reports) for management purpose.
Responsibilities:
- Responsible for Accounts Payable and Receivable
- Bank Reconciliations
- Collect money.
- Compose monthly and quarterly cash flow provisions.
- Have excellent general ledger knowledge to maintain and manage all aspects of the general ledger.
- Knowledge of balance sheets
- Classification of expenses and payments.
- Closing of books
- Preparation of forecasts and budgets.
- Prepare a ledger for receipt of entries and appropriate reconciliations.
- Prepare monthly cost reports for the CEO
- Monitor and assist with Inventory
- Purchasing and invoices for suppliers and customers.
- Assist with controls for sales representatives, daily Excel report for sales.
- Insurance control and management
- Reconcile daily cash flow when making the deposit.
- Maintains accounting controls by preparing and recommending policies and procedures.
- Weekly, Monthly, and Annual Sales Reports.
Education: Bachelor's degree in Accounting
Experience:
-Accounts Receivable (5yrs.)-Accounts Payable(5yrs.)-Must QuickBooks Enterprise Desktop (5yrs.)-Must be fluently Bilingual in Spanish and English.
Nice to have experience in Netsuite
Experience in Quickbooks Desktop or Online