Est. Budget: $500.00
• Helps Prepare Financial Statements, Journal Entry, Balance Sheet, Accounts payables and receivables.
• Balance Sheet reconciliation.
• Prepares payroll, contributions and taxes in compliance to imposed legal requirements.
• Assists with audits by providing supporting records and documentation.
• Bank Reconciliation across multiple companies.
• General Ledger Maintenance/Bookkeeping.
• Other duties as may be assigned