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Hours Part-time, Full-time
Location Los Angeles, CA
Los Angeles, California

About this job

Essential Duties and Responsibilities

*  ?Reconciliation daily cash, credit payment transactions and preparation of respective journal entries

*  ?Investigate issues that impact company cash-flows

*  ?Preparing daily bank reconciliations and cash position reports

*  ?Reconcile all daily activity from processors and reconcile to the banks

*  ?Attention to detail and accuracy in handling high volume transactions

*  ?Assist with documentation and monitoring of financial internal controls

*  ?Apply knowledge of General Accepted Accounting Principles GAAP in posting entries

?Proficient skills:

*  ?Advance Excel skills, experienced with quickbooks and data sorting and filtering

*  ?Knowledge of data analysis and bank reconciliations

*  ?Mathematical savvy

 

Job Requirements:

*  ?Bachelor's degree in Accounting , Finance, Economics or similar discipline required

*  ?Prior experience in payment processing is highly desirable

*  ?any additional language is a plus but not required

*  ?Experience with Microsoft Dynamics (Great Plains) is preferred

*  ?Excellent verbal and written communication skills

*  ?Strong attention to detail

*  ?Experience with journal entries, account analyses and balance sheet reconciliations