Responsibilities
Prepare and analyze financial statements, including balance sheets, income statements and statements of cash flow.
Record and analyze financial transactions to ensure accuracy and integrity of financial records.
Review and reconcile ledgers and accounts.
Reconcile daily cash balances and prepare month end cash flow projections.
Prepare journal entries and reconcile general ledger accounts.
Prepare bank deposits and wire transfers.
Monitor accounts payable and receivable for proper recording of transactions.
Assist with the preparation of annual budget and financial reporting.
Ensure compliance with accounting standards and audit policies.
Monitor and analyze financial performance against budget.
Qualifications
Bachelor’s Degree in Accounting or Finance
Knowledge of Generally Accepted Accounting Principles (GAAP)
Proven track record of accuracy and attention to detail
Excellent problem-solving and communication skills
Ability to work independently and collaborate with a team
Ability to multi-task and prioritize projects
Proficiency in relevant software, including Excel, QuickBooks, etc.
Previous experience in accounting preferred
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