- Coordinate accounting functions and programs.
- Prepare financial work papers and reports.
- Assist with monitoring, maintaining, and reconciling financial accounts and Accounts Payable.
- Maintain and reconcile balance sheet and general ledger accounts.
- Prepare annual compliance reports such as 1099s and City Tax.
- Prepare financial statements, including Balance Sheets, Income Statements, and Trial Balances.
- Coordinate financial statement preparation and supporting documents for tax purposes.
- Investigate and resolve account discrepancies and issues of non-compliance.
- Contribute to developing new or amended accounting systems, programs, and procedures.
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