Execute transactional entries to maintain and update company financial records, ledgers, and journals Reconcile bank accounts, balance sheets, and other financial accounts to ensure accuracy and completeness Process invoices, manage accounts payable, and assist with accounts receivable functions Support month-end and year-end close activities Assist in the preparation of financial statements Ensure adherence to GAAP principles and internal accounting policies Collaborate with internal teams to improve accounting workflows Participate in audits and provide supporting documentation Use accounting software and Excel-based reporting tools to analyze data