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I run a growing business that relies on Xero for all of our accounting, and I need the books kept accurate and up to date every single day. Your main responsibility is straightforward: handle the daily transaction recording, reconcile every account on a regular schedule, and close out each month with clean, well-structured financial statements I can share with my advisors. The workflow is already set up in Xero, so you’ll log in, code the bank feeds, attach source documents, flag anything that needs my approval, and reconcile the balances. Once the period is closed you’ll prepare and publish the profit-and-loss, balance sheet, and cash-flow reports directly from Xero. If you’re used to QuickBooks or FreshBooks that’s fine, but for this project everything happens inside Xero—no exports, no spreadsheets. Deliverables • Daily posting and coding of all transactions • Weekly or more frequent reconciliation of bank, credit-card, and payment-processor accounts • End-of-month financial statements generated from Xero, ready for review and filing I’ll provide secure access, a brief handover on our chart of accounts, and prompt answers to any questions so you can keep the workflow moving smoothly.
Project ID: 40485144
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Active 2 hours ago
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