Maintain up-to-date records of income, expenses, and cash flow using QuickBooks or a comparable accounting tool
Reconcile bank and credit card statements monthly
Categorize transactions accurately and consistently
Prepare and summarize monthly financial statements or snapshots for internal use
Collaborate with leadership to support light budgeting and forecasting
Provide clean, timely records to our accountant at tax time
Recommend process improvements or best practices as needed
Most hours will be remote
Additional admin work/hours available if interested.