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About The Position

In this role, you will be responsible for a variety of financial tasks that are essential to the smooth operation of our accounting department. You will post financial transactions into subsidiary books and general ledgers, ensuring accuracy and compliance with accounting standards. Additionally, you will reconcile and balance accounts, generate and analyze financial statements, and prepare and process payroll. Your role will also involve generating 1099s and W2s, as well as calculating and preparing tax statements. Effective communication with clients, client suppliers, vendors, and banking contacts will be crucial, as you will assist in client retention and identify growth opportunities.

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