Job Description
- Processing financial transactions, such as accounts payable and accounts receivable
- Preparing bank deposits and reconciling bank statements
- Monitoring and managing accounts to ensure accuracy and compliance with accounting procedures
- Generating reports and summaries of financial data for use by management and other departments
- Assisting with the preparation of financial statements and tax returns
- Responding to financial inquiries from coworkers and clients
- Entering financial data into accounting software
- Verifying and reconciling account balances
- Calculating and preparing payroll
- Filing and organizing financial documents
- Collecting and recording customer payments
- Conducting audits of financial records and transactions