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About
My previous bookkeeper and I used a simple, collaborative system: she would paste any uncategorized transactions requiring clarification or receipts into a shared Google Sheet. I would then upload the corresponding receipts or provide context, and she would attach everything in QuickBooks and reconcile against the monthly statement I provide.
I'm open to keeping this workflow since it has worked well, but I'm also happy to hear suggestions if there's a more efficient system you recommend.
The same spreadsheet also included a separate tab for invoices. If an invoice was needed to match a QuickBooks payment, she would flag it there and I would upload it for proper coding.
Occasionally, minor adjustments are required when currency conversion rates from Wise don't align perfectly in QuickBooks, so some familiarity with handling multi-currency reconciliation would be helpful.
Contract duration of less than 1 month. with 30 hours per week.
Mandatory skills: Intuit QuickBooks, Bank Reconciliation, Balance Sheet, Bookkeeping, Accounts Payable, Accounting Basics, Accounting Software, Cash Flow Statement, Accounting
Languages
- English
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