Cleveland Office


  • Maintain the general ledger and all related accounts with proper documentation and record all company transactions. Responsible for monthly and year end closing of the general ledger.
  • Monitor and enforce internal controls.
  • Prepare budgets and any other relevant financials information for discussion and action plan with CEO.
  • Prepare monthly bank reconciliations for all accounts.
  • Maintain other accounts and perform other accounting duties as required or as requested by the CEO.
  • Manage daily financial records involving cash flow.
  • Work with CPA firm to provide financial information for tax purposes.
  • Entry of all journal entries, all accounts payable, and all accounts receivable.
  • Responsible for all payroll functions
  • Manage any other financial matters per CEO direction.


  • Self-starter with excellent time management, adaptability, organizational skills and attention to detail.
  • Humbly confident with a genuine personality.
  • Understand importance of accountability to clients and co-workers.
  • Ability to deliver results, regardless of the situation.
  • Innovative.
  • Ability to maintain the highest level of confidentiality.
  • Present self in professional manner and able to interact with all levels of organization and outside contacts.
  • Excellent oral/presentation and written communication skills.
  • Strong computer skills – Microsoft Office (Outlook, Word, Excel, Powerpoint) required, Quickbooks preferred
  • Working knowledge of applicable laws, regulations, and financial industry standards.
  • 5+ years of experience in a similar role.

Please fill out the form below and upload a cover letter and a resume.

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