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- Full Charge Bookkeeper
Description
Company Overview
Decision Logic is a performance-driven, PE-backed SaaS company that provides restaurant management software for multi-unit brands. Our platform simplifies back-office operations, improves cost control, and drives profitability.
Position Summary
We are seeking a dependable and detail-oriented Full Charge Bookkeeper to manage daily financial and clerical tasks at our Omaha office. This hybrid role combines hands-on bookkeeping with general office support, ensuring accurate records, timely payments, and smooth internal operations.
Key Responsibilities
Bookkeeping & Financial Support
Manage full-cycle bookkeeping: A/P, A/R, bank and credit card reconciliations
Process payroll with external provider and ensure accuracy
Maintain general ledger and assist with audit preparation
Track expenses and maintain accurate financial records
Ensure compliance with internal financial procedures
Administrative Support
Order and manage office supplies and vendor relationships
Handle mail, shipping, document filing, and other clerical tasks
Provide basic support for internal events and visiting guests
Qualifications
Degree or equivalent work experience in accounting, finance, or a related field
5–10 years of full-charge bookkeeping experience
Proficient in QuickBooks Online, Microsoft Excel, and payroll systems
Strong organizational skills and attention to detail
Able to handle confidential information with discretion
Self-starter who can manage multiple priorities with minimal supervision
Why Join Us
At Decision Logic, you’ll join a high-growth team that values accountability, professionalism, and collaboration. This role is essential to keeping our financial operations and office running efficiently as we continue to scale.
Requirements
Bookkeeping & Financial Support
Manage full-cycle bookkeeping: A/P, A/R, bank and credit card reconciliations
Process payroll with external provider and ensure accuracy
Maintain general ledger and assist with audit preparation
Track expenses and maintain accurate financial records
Ensure compliance with internal financial procedures