Assist in the preparation of financial statements and reports.
Record daily financial transactions and maintain general ledgers.
Process accounts payable and receivable accurately and timely.
Reconcile bank statements and resolve discrepancies.
Assist with month-end and year-end closing processes.
Support the preparation of tax filings and compliance documentation.
Maintain organized and up-to-date financial records and files.
Assist with audits by providing necessary documentation and support.
Collaborate with other departments to ensure accurate financial data.
Perform other accounting duties as assigned by senior staff.