Employer Active
Flexible hours. about 25 hours per week
Responsible for monthly general ledger journal entries needed for financial statement preparation due by the 15th of each month.
Responsible for recording daily banking activity.
Responsible for monthly bank reconciliations.
Responsible for monthly fixed asset reconciliation.
Responsible for managing annual equipment calibrations and maintenance.
Responsible for assisting with preparation and filing of W2 s and 1099 s.
Cross training in other financial duties with VP of Finance as needed
Full Time