Handle the full set of accounts: journal entries, general ledger, balance sheet, profit & loss (P&L), and cash flow statements in accordance with financial accounting standards.
Prepare monthly, quarterly, and annual financial closing reports.
Perform regular reconciliations on bank and credit card statements; investigate and resolve discrepancies promptly.
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Handle the full set of accounts: journal entries, general ledger, balance sheet, profit & loss (P&L), and cash flow statements in accordance with financial accounting standards.
Prepare monthly, quarterly, and annual financial closing reports.
Perform regular reconciliations on bank and credit card statements; investigate and resolve discrepancies promptly.
...