職位描述
簡介
- Must be proficient with Excel and data visualization skills**
EVERY MORNING
- Review your To Do list for the day
- Review emails for anything time sensitive
- Review Teams for anything time sensitive
- Log into the bank website and review all transactions for both companies
- Print a copy of each payment
- Ensure all transactions are identifiable and warranted
- Transfer monies paid to the wrong account (MEC vs MF)
DAILY
- Open mails
- Some mails are for payment (E.g Speed tickets, vehicle registration renewals, tolls, etc.) Process with RAMP card, upload receipt and include GL Code. Invoices are through http://bill.com
- Process Checks on Bank Website
- Process Card or Bank payment information on AlliantPay
- Approve ACH Positive Pay on bank website
- Process payments and post to CaterXpert
- Review and submit vendor payments to http://Bill.com
EVERY MONDAY
- Post screenshot of bank balances, including CD, in Teams – Finance, Cash Flow channel
- Post all payments received then run new accounts receivable report from CaterXpert for both MEC and MF and send emails to MEC clients (except Tracy’s) requesting payment – (e,g, 60% due or final balance). MFL EMs usually contact their clients themselves
- Pay bills via http://Bill.com
Every Other Friday – Payroll Week
- Review Sales commissions for any Events with Receivables.
- Review mathematical accuracy of all submissions
- Submit Sales commissions and reimbursements to payroll processor (ADC) the Friday before payroll
Every Other Monday/Tuesday – Payroll Week
- Review Journals and post final payroll reports to Teams for approval – Payroll and HR channel, Payroll Reports 2024
EVERY THURSDAY/FRIDAY
- Ensure all payments for the weekend events have been received or reach out to Sales Manager/EM
Others
- Upload Bank Statement to RAMP as an admin
- Respond to ADC (e.g need for W9 to process invoice, payment reconciliation, intercompany transfers, month closing, etc)
- Respond to clients (Sometimes they require a call for bank verification or for payment over the phone, etc)
- Obtain approval before writing off receivables to bad-debt
- Print and disburse MEC or MF Checks
- Petty Cash Check for emergencies
- Disburse Petty Cash
- Document, Print and file all payments processed including authorization emails
MONTH CLOSING
- Invoice out all MEC and MF bills on CX
- Verify Venue Fees on the invoice (See list of Venues for % calculation e.g Capital one, Spy Museum, etc)
- Get approvals for any refunds due to clients before printing a check
- Food cost credits (a.k.a Hidden cost)
- MF Staff revenue
- CDA Monies report
- MEC Estimated sales commission from CX
- MF Estimated sales commission from CX
- Petty Cash Report
- Generate invoices for Venue Fees and send to both the venue reps, and http://bill.com for processing (due latest 10th)
QUARTERLY
- Various VA, MD and DC Tax Filling (April, June, Sept, Dec/Jan).
- Inventories due by second week after the end of each quarter
- Food, soft beverages, alcohol, disposables, chemicals, linens, rental equipment (see spreadsheet example titled Inventory 2023)
- Assembles all data with summary of all tabs on tab one and includes the valuations
ANNUALLY
- DC alcohol license renewal
- Arlington business license renewal
- All insurance renewal (general liability, auto, liquor, etc.)
- Worker’s Compensation insurance audit
- US DOT annual filing
- Alcohol license renewal
- Arlington County Health Department license renewal
- Budget – to launch by mid
職位要求
Please refer to job description.
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