We are seeking a hands-on full-cycle Bookkeeper with deep expertise in QuickBooks Desktop (Pro) to take ownership of day-to-day accounting operations across a multi-entity operational business environment.
This is a position for someone who is comfortable working in the details: managing AP AR reconciliations and data across multiple systems - and who thrives in a real-world sometimes messy environment.
Important: Candidates must have strong recent experience using QuickBooks Desktop Pro.
What Youll Do
Own full-cycle bookkeeping: Accounts Payable Accounts Receivable General Ledger and bank/credit card reconciliations
Manage incoming and outgoing payments ensuring accuracy and timeliness
Reconcile data across multiple systems and identify discrepancies
Import/export and clean data from external platforms into QuickBooks
Support month-end close through accurate data entry and reconciliation
Maintain organized accurate financial records across multiple entities
Work closely with internal stakeholders and external accountant as needed
Systems & Tools
You will regularly work across multiple platforms and must be comfortable tying them together:
QuickBooks Desktop (Pro)
Square
Ramp
StoreEdge
Expensify (or similar)
What Were Looking For
510 years of hands-on bookkeeping experience required
Proven experience as a sole or lead bookkeeper
Deep daily use of QuickBooks Desktop Pro
Strong experience with:
-Invoice and bill entry
-Applying payments
-Bank and credit card reconciliations
-Financial reporting
-Cleanup of errors and mis-postings
Comfortable working in a multi-system environment
Strong Excel / spreadsheet skills
Ability to identify issues troubleshoot and clean up data independently
About the Environment
Youll be supporting operations across two entities with different revenue streams including real estate and a high-volume attraction business. Financial data flows in from multiple systems and requires hands-on reconciliation and organization especially at month-end.
Youll work alongside an experienced accountant who handles financial statement preparation. This role is focused on execution accuracy and day-to-day ownership of the books.
Thrive is an equal opportunity employer.
We are seeking a hands-on full-cycle Bookkeeper with deep expertise in QuickBooks Desktop (Pro) to take ownership of day-to-day accounting operations across a multi-entity operational business environment.This is a position for someone who is comfortable working in the details: managing AP AR reconc...
We are seeking a hands-on full-cycle Bookkeeper with deep expertise in QuickBooks Desktop (Pro) to take ownership of day-to-day accounting operations across a multi-entity operational business environment.
This is a position for someone who is comfortable working in the details: managing AP AR reconciliations and data across multiple systems - and who thrives in a real-world sometimes messy environment.
Important: Candidates must have strong recent experience using QuickBooks Desktop Pro.
What Youll Do
Own full-cycle bookkeeping: Accounts Payable Accounts Receivable General Ledger and bank/credit card reconciliations
Manage incoming and outgoing payments ensuring accuracy and timeliness
Reconcile data across multiple systems and identify discrepancies
Import/export and clean data from external platforms into QuickBooks
Support month-end close through accurate data entry and reconciliation
Maintain organized accurate financial records across multiple entities
Work closely with internal stakeholders and external accountant as needed
Systems & Tools
You will regularly work across multiple platforms and must be comfortable tying them together:
QuickBooks Desktop (Pro)
Square
Ramp
StoreEdge
Expensify (or similar)
What Were Looking For
510 years of hands-on bookkeeping experience required
Proven experience as a sole or lead bookkeeper
Deep daily use of QuickBooks Desktop Pro
Strong experience with:
-Invoice and bill entry
-Applying payments
-Bank and credit card reconciliations
-Financial reporting
-Cleanup of errors and mis-postings
Comfortable working in a multi-system environment
Strong Excel / spreadsheet skills
Ability to identify issues troubleshoot and clean up data independently
About the Environment
Youll be supporting operations across two entities with different revenue streams including real estate and a high-volume attraction business. Financial data flows in from multiple systems and requires hands-on reconciliation and organization especially at month-end.
Youll work alongside an experienced accountant who handles financial statement preparation. This role is focused on execution accuracy and day-to-day ownership of the books.
Thrive is an equal opportunity employer.
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