Financial record-keeping: Process and record invoices, payments, and expense reports.
Reconciliation: Reconcile bank statements and identify and resolve discrepancies.
Payroll and taxes: Support payroll processing and ensure compliance with tax regulations.
Financial reporting: Assist in preparing financial statements, such as balance sheets and income statements.
Month-end/year-end close: Support closing activities at the end of the month and year.
Administrative support: Handle general administrative tasks, such as filing documents, managing petty cash, and responding to inquiries.
Auditing: Assist with audits by providing necessary documentation.
Data entry: Enter financial transactions into accounting software and databases