- Data Entry & Maintenance: Recording daily financial transactions maintaining accurate ledgers and managing accounts payable/receivable.
- Reconciliation & Reporting: Reconciling bank statements processing invoices expense forms and assisting in preparing balance sheets and income statements.
- Month-End Closing: Supporting senior accountants in month-end and year-end closing processes.
- Compliance & Tax: Supporting tax preparation and ensuring compliance with local state and federal regulations.
- Administration: Managing petty cash filing documents and assisting with internal audits
Basic knowledge of Tally and MS Office is mandatory
Data Entry & Maintenance: Recording daily financial transactions maintaining accurate ledgers and managing accounts payable/receivable.Reconciliation & Reporting: Reconciling bank statements processing invoices expense forms and assisting in preparing balance sheets and income statements.Month-End C...
- Data Entry & Maintenance: Recording daily financial transactions maintaining accurate ledgers and managing accounts payable/receivable.
- Reconciliation & Reporting: Reconciling bank statements processing invoices expense forms and assisting in preparing balance sheets and income statements.
- Month-End Closing: Supporting senior accountants in month-end and year-end closing processes.
- Compliance & Tax: Supporting tax preparation and ensuring compliance with local state and federal regulations.
- Administration: Managing petty cash filing documents and assisting with internal audits
Basic knowledge of Tally and MS Office is mandatory
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