Accounting Coordinator
K2M Design is looking for positive contributors to our culture, that are passionate about meeting the demanding needs of our clients, and add value and impact through expertise - all in turn contributing to the growth of K2M.
If you are an Accounting Coordinator and believe in Building Relationships Based on Trust and Results - we need you!
Mission: Ensure the timely processing of transactions, payments to vendors, and reconciliation of corporate accounts, including bank, credit card, and general ledger.
Competencies:
- Confidentiality. Maintains the utmost confidentiality of the Company and Directors forever and without fail.
- Persuasion. Able to convince others to pursue a course of action in favor of K2M.
- Organization and Planning. Plans, organizes, schedules, and budgets in an efficient, productive manner. Focuses on key priorities.
- Detail Oriented. Does not let important details slip through the cracks.
- Ethical. Works with a high level of integrity. Does what is right.
- Quality. Demonstrates accuracy and thoroughness.
- Communication. Writes clearly and informatively; Presents numerical data effectively.
- Calm under Pressure. Maintains stable performance when under pressure or stress.
- Cultural. Fit with the K2M Team and direction of the organization.
Essential Duties and Responsibilities include the following. Other duties may be assigned.
Weekly duties
- Entering invoices, and substantiating business transactions; utilizing QuickBooks and CMap.
- Verify expenditures and credits with statements of accounts (vendors)
- Review approval of vendor invoices and pay invoices due on a weekly basis, including all rent payments due monthly.
- Respond to vendor inquiries, resolve any issues.
- Compute and records charges for vendors and, when needed, for project-related payables (filing fees, etc.)
- Updates Cash Needs sheet with all outgoing cash entries; monitor spreadsheet for discrepancies/reconciliation; updating with future expenditures/receipts.
- Participate in weekly Level 10 meetings with Support Team
- Support Business Unit data tracking by updating transactions in QuickBooks.
Bi-Weekly
- Complete accounting spreadsheets for payroll, 401k and HSA and enter payments into QuickBooks
- Process Employee Expense reimbursements, follow approval protocol, process payment in QuickBooks and coordinate entry into bank for ACH payment.
Monthly
- Reconcile Credit Card Statements
- Reconcile bank & loan statements.
- Update and reconcile Prepaid Expense schedule.
Quarterly
- Assist accounting firm with quarterly IRS payments due for shareholders.
- Complete and files Ohio CAT taxes
Semi-Annually
- Complete Workers Compensation True-Up
Annually
- Issue 1099s.
- Monitor taxes due for states throughout year.
- Issue payments for federal/state taxes due.
- Update Insurance spreadsheet and file all insurance policies on O: drive.
As Needed
- Request new vendor ACH information in bank system.
- Update General Ledger accounts and monitor for discrepancies.
- Create/monitor/update Prepaid Expense Spreadsheet and QuickBooks journal entries.
- Assist with purchasing and payments as necessary to support the organization.
Education/Experience:
- Associate’s or Bachelor’s degree in Accounting, Finance, or related field
- 0-3 years’ work experience in the field of Accounting and/or Finance
- Internship experience in an accounting or finance department is a plus