Preparing and submitting weekly and monthly financial reports
Updating financial data in databases to ensure the accuracy of the information
Assisting with reviewing payroll records and expenses, among other items as assigned
Assisting in the processing of income statements, balance sheets, and other financial statements as per the company’s legal, financial, and accounting guidelines
Performing reconciliations, updating accounts payable and receivable, and issuing invoices
Processing financial entries to ensure a proper recording of all business transactions
Developing monthly financial statements that include profit and loss statements, cash flow records, and balance sheets