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Quickbooks Assistant needed for small prodco (South Bay / Torrance)

Looking for Quickbooks assistance on Mac for small home-based production company. Work would include one or two longer sessions on site, then periodic review and report generation, probably quarterly. Ideal candidate would be based in the South Bay/Torrance area, but anyone willing to do work on site is encouraged to reach out. Work will be hourly, so please give me your hourly rate, or rate range, if negotiable! Thanks!

Non-Union Production Accountant needed (Culver City)

We are looking for a seasoned Production Accountant to join our team of experience accountants. You will be responsible for performing a variety of accounting duties and required to meet deadlines.
• Prepare show cash flow and monthly cash projections
• Oversee production A/P, payroll, petty cash, and journal entries
• Work closely with Line Producer and EIC to manage show budget
• Ensure productions are in compliance with corporate policies and procedures
• Prepare month end and year end reporting
• 5-10 years of production accounting experience
• Global Vista and Cashet knowledge is a must
• Proficiency with Excel
• Experience working on multiple projects simultaneously
• Communicate effectively with others in a team environment
• Team Player with a positive attitude
• Flexible to work longer hours when needed
• Interested candidates must submit a resume to be considered
• Must be willing to submit a background check

Production Accountant needed for Reality / Talk Show Comedy project (Burbank)

Seeking a production accountant with experience in reality TV and talk-show. Must be very experienced with PSL, Movie Magic, and Cast and Crew Payroll. This is a comedy show, so please submit your credits along with your best joke.
Starts in the next couple of weeks and runs until mid May. Company is based in Burbank.
Responsibilities will include:
– Bookkeeping in PSL
– Reconciling credit card statements and bank accounts
– Generating cost reports
– Cutting checks and issuing wire transfers
– Reconciling credit card statements and bank accounts
– Managing petty cash
– Liaising with company’s CPAs