- Record and process all financial transactions accurately and timely.
- Maintain and reconcile accounts payable and receivable.
- Prepare bank reconciliations on a regular basis.
- Manage general ledger entries and assist with month-end close processes.
- Assist in preparing financial reports and statements.
- Support payroll processing and ensure compliance with relevant regulations.
- Collaborate with the finance team to streamline accounting procedures.
- Ensure adherence to company financial policies and standards.
AccountingBookkeepingQuickBooks