Assist in recording daily financial transactions, including accounts payable and accounts receivable
Maintain accurate and up-to-date general ledger entries
Reconcile bank statements, credit card statements, and other financial records
Assist in the preparation of financial statements, balance sheets, income statements, and cash flow statements
Compile data and provide support for monthly, quarterly, and annual financial reporting
Collaborate with senior accountants to ensure accurate financial documentation
Process invoices, verify documentation, and ensure timely and accurate payment to vendors
Assist in monitoring and following up on accounts receivable collections
Prepare and issue invoices to customers in accordance with company policies
Monitor and categorize expenses, ensuring compliance with budgetary guidelines
Contribute to expense analysis and budget variance reporting
Assist in identifying cost-saving opportunities and efficiencies
Assist in preparing documentation for internal and external audits
Ensure adherence to company policies, procedures, and accounting standards
Collaborate with auditors to provide necessary financial information
Maintain accurate financial records and documentation
Ensure proper filing and organization of financial documents
Assist in maintaining organized and accessible electronic and physical records