Assist in day-to-day accounting operations and data entry.
Maintain records of financial transactions and verify accuracy.
Prepare basic journal entries, ledger entries, and account reconciliations.
Assist in accounts payable and receivable processing.
Support monthly closing and reporting processes.
Generate and maintain invoices, receipts, and other financial documents.
Assist in the preparation of financial reports and documents for audits.
Maintain proper documentation and filing systems.
Coordinate with internal departments and vendors as needed.
Perform other accounting-related duties as assigned.