- Record Transactions: Maintain general ledgers, balance sheets, and income statements.
- Reconcile Accounts: Check bank statements, accounts payable, and accounts receivable.
- Handle Taxes: Compute and prepare tax returns and filings.
- Manage Closings: Complete monthly, quarterly, and yearly financial closings.
- Support Audits: Review financial documents and work with auditors.
manages financial records, creates reports, computes taxes, and ensures legal compliance to help a company track financial health and make smart business choices. Experience : 1,2 years