Accurately manage and maintain financial records,
including accounts payable, accounts receivable,
general ledger entries, and expense tracking.
• Prepare and process invoices, payments, and financial
transactions in compliance with company policies and
procedures.
• Reconcile bank statements, credit card statements,
and other financial accounts to ensure accuracy and
resolve any discrepancies.
• Assist in the preparation of financial statements,
budget reports, and management reports to support
decision-making processes