TRIO Development
Accountant/Bookkeeper
TRIO Development, Boston, Massachusetts, us, 02298
Trio Development is seeking an experienced Bookkeeper/Office Manager to work for a rapidly growing real estate development company in the Newton area. This person will be expected to perform a variety of tasks, help keep long term projects on track, and handle more crucial requirements. An ideal candidate has excellent written and verbal communication skills and has a savvy personality, with entrepreneurial spirit.The candidate must be proficient and experienced with QuickBooks and Microsoft Office.Requirements:
Experience in BookkeepingAdvanced knowledge of Microsoft ExcelAdvanced knowledge of QuickBooksGood time management and organization skillsDiscrete concerning confidential or sensitive informationEmployee PayrollBank reconciliations/credit card reconciliationsHuman resources duties-maintaining employee files onboarding, employee time trackingManage vehicle requirementsTrack all insurance bills, renewals, follow up with agents on special issues or requestsInvestigate, analyze, and resolve accounting problems.Communicate with staff and customers about accounting data.Use software applications to create financial statements.Process invoices and credit memos.Perform bank reconciliations.Manage accounts payable and receivable.Manage accounts payable and receivable expenses.Invoices/checksBank reconciliationsP&L DeliverySpeaking with Vendors regarding A/P & A/R
Experience in BookkeepingAdvanced knowledge of Microsoft ExcelAdvanced knowledge of QuickBooksGood time management and organization skillsDiscrete concerning confidential or sensitive informationEmployee PayrollBank reconciliations/credit card reconciliationsHuman resources duties-maintaining employee files onboarding, employee time trackingManage vehicle requirementsTrack all insurance bills, renewals, follow up with agents on special issues or requestsInvestigate, analyze, and resolve accounting problems.Communicate with staff and customers about accounting data.Use software applications to create financial statements.Process invoices and credit memos.Perform bank reconciliations.Manage accounts payable and receivable.Manage accounts payable and receivable expenses.Invoices/checksBank reconciliationsP&L DeliverySpeaking with Vendors regarding A/P & A/R