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About The Position

The position involves various bookkeeping and payroll responsibilities, including posting financial transactions into subsidiary books and general ledgers, reconciling and balancing accounts, and generating and analyzing financial statements. The role also requires preparing and processing payroll, generating 1099s and W2s, and calculating and preparing tax statements. Additionally, the candidate will communicate with clients, client suppliers, vendors, and banking contacts, and assist in client retention and growth opportunities.

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