SteadPoint
Teams at SteadPoint
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Insurance
Support accounting operations including data entry, deposits, bank reconciliations, accounts payable processing, credit card expense management, budget monitoring, preparing monthly/quarterly financials, and assisting auditors with documentation.
Insurance
Maintain financial records including data entry, journal entries, bank reconciliations, accounts payable/receivable, and cash management. Prepare monthly and quarterly financial statements, assist external auditors, process billing and payments, manage credit card expenses, and recommend improvements to accounting procedures.
