Financial Reconciliation & Accounting SupportComplete weekly bank and credit card reconciliations for U.S. and Canadian entities (~3 hrs/week). Perform month-end financial reconciliations to ensure accurate reporting (~6 hrs/month). Lead year-end reconciliation and documentation (~10 hrs total).Tax Review & ComplianceConduct monthly tax review and ensure accurate entries and reporting (~4 hrs/month).Invoice Verification & ProcessingVerify Inscape invoices for accuracy and correct coding (~2 hrs/month).Cross-Functional CollaborationCoordinate with the DiSCProfile.com team and Assessments FP&A to align financial reporting and resolve discrepancies (~1 hr/week).QualificationsQuickBooks Certification required.
Experience in multi-entity bookkeeping, reconciliation, and financial operations. Familiarity with tax review processes and financial controls. Strong attention to detail, documentation skills, and ability to work independently. Ability to collaborate effectively with cross-functional teams.
Quickbooks Financial Operations Specialist (Contingent) in minneapolis at Unknown Company
This position is listed as full time and onsite.