Financial Record Keeping: Post journal entries, record financial transactions, and maintain accurate general ledgers.
Financial Reporting: Assist in preparing and updating financial statements, balance sheets, and income statements.
Accounts Management: Manage accounts payable (paying vendors) and accounts receivable (collecting payments).
Bank Reconciliation: Conduct bank reconciliations to ensure accuracy.
Payroll: Process and administer monthly payroll for employees and calculate associated taxes.
Audit Support: Support senior accountants during internal and external audits.
Compliance: Help ensure compliance with accounting standards, regulations, and company policies.
Software Proficiency: Utilize various accounting and ERP software for financial tasks.
Reporting: Compile reports on financial progress and identify financial discrepancies.