Accounting
Job Summary
Prepare and maintain accurate financial records and reports while handling daily financial transactions. Manage accounts payable, accounts receivable, and general ledger accounts to ensure compliance. Support budgeting, forecasting, audits, and overall financial planning.
Responsibilities
- Prepare financial records and reports
- Record daily financial transactions
- Process AP and AR
- Monitor cash flow and general ledger
Required Skills
- Financial reporting
- Tax preparation
- Budgeting and forecasting
- Audit support
Job Details
Prepare and maintain accurate financial records and reports.\nRecord daily financial transactions and reconcile bank statements.\nProcess accounts payable and accounts receivable.\nPrepare monthly, quarterly, and annual financial statements.\nAssist with budgeting, forecasting, and financial planning.\nCalculate and prepare tax returns and ensure compliance with tax regulations.\nMonitor cash flow and maintain general ledger accounts.\nSupport internal and external audits by providing required documentation.\nEnsure compliance with company policies and accounting standards.\nIdentify and recommend process improvements to increase efficiency.