Bookkeeper / Accountant

Riverside EpiCenter, Austell, Georgia

Date Posted May 02, 2021
Industry Accounting
Specialty Not Specified
Job Status Full-time
Salary Not Specified


Job details

Job Type

Full Job Description

Riverside EpiCenter is an ideal place to host professional events, social gatherings, and generational celebrations that frame life’s cherished moments. Established in 2014 by Word of Faith Family Worship Cathedral, under the visionary leadership of Bishop Dale C. Bronner, the Riverside EpiCenter has a mission to empower people and inspire communities. We feature GREEN contemporary spaces for business & collaboration, events of all kinds, sports & fitness, youth & entertainment, and diverse dining options with free wifi and free parking. Adjacent to Six Flags Over Georgia, the Riverside EpiCenter offers something for the whole family all under one roof. The EpiCenter seeks a Bookkeeper / Accountant to join its dynamic team.

Full-Time, Salaried
Immediate Supervisor:
General Manager
Supervision Purview:

General Statement of Duties:
The Bookkeeper / Accountant will manage all Accounting functions of the Riverside Epicenter and EpiFitness Club to include business operations, oversight of financial matters and legal compliance. Applies specialized training, experience, and knowledge. The position will ensure compliance with all federal, state, local, and municipal laws and regulations pertaining to the organization’s finance and accounting matters. The nature of this position requires an individual with superior integrity, moral turpitude, and above all honesty and confidentiality. Must be able to work the assigned schedule and adhere to the tenets of the Christian faith.

Essential Job Functions:
  • Manages accounting processes and practices for both entities.
  • Manage cash flow and expenditures for both entities (Riverside Epicenter and EpiFitness Club).
  • Reconcile all bank and credit card accounts for both entities.
  • Prepare monthly sales tax reporting and payments for both entities.
  • Compile monthly general ledger for both entities.
  • Maintain depreciation schedule for both entities.
  • Prepare quarterly departmental and overall financial statements for both entities.
  • Compile departmental and overall annual budgets for both entities.
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