The right Teammate will oversee multiple business entities, maintain accurate financial records, manage payroll and reconciliations, produce monthly and year-end financial statements, coordinate tax and employment-related filings, manage vendor payments, and work directly with company ownership, our Controller, third-party CPA/CFO, HR provider, banks, vendors, and other business partners. You should have strong command of general ledger accounting, accounts payable, accounts receivable, bank and credit card reconciliation, invoice reconciliation, payroll accounting, journal entries, accruals and adjusting entries, month-end and year-end close, financial statement preparation, and multi-company or multi-location accounting.