Financial reporting: Prepare and maintain financial statements, balance sheets, and reports
Accounts: Maintain accounts receivable and payable, including issuing invoices and receipts
Payroll: Process payroll, including taxes, for the company's employees
Reconciliations: Compare bank statements and ledgers, and reconcile financial transactions
Journal entries: Post journal entries for revenue and expenses
Data entry: Enter financial data into accounting software and databases
Audits: Assist with audits and financial analysis
Compliance: Prepare and file local and annual accounting reports, and ensure compliance with laws and regulations