Prepare, process, and record daily financial transactions, including invoices, receipts, payments, and expenses. Maintain accurate financial records and ensure they comply with accounting standards and regulations. Reconcile bank statements, accounts payable/receivable, and general ledgers to ensure accuracy. Assist in the preparation of financial statements, reports, and budgets. Process payroll and ensure timely and accurate payment to employees. Prepare tax returns and ensure compliance with tax regulations. Monitor cash flow, assist with financial forecasting, and provide insights to management. Assist in audits by providing necessary financial documents and supporting information. Collaborate with other departments to address any financial discrepancies or issues.
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