Financial Reporting: Prepare, analyze, and verify financial documents, including balance sheets, cash flow statements, and profit/loss reports. Workable +1
Bookkeeping & Reconciliation: Manage daily accounting transactions, track accounts payable and receivable, and reconcile bank statements to resolve discrepancies. Workable +1
Tax Management: Compute taxes, prepare tax returns, and ensure all filings comply with federal, state, and local tax laws. Workable +1
Auditing & Compliance: Conduct regular internal audits, maintain financial data confidentiality, and guarantee all operations align with Generally Accepted Accounting Principles (GAAP) or other governing standards. Workable +2
Budgeting & Analysis: Assist management in cost analysis, financial forecasting, and creating budgets to support strategic business decisions
GST monthly returns 2b 3b 9c
Basic knowledge of Accounts