Job Description
- Analyze financial information and prepare balance sheets.
- Coordinate with management and staff to prepare budgets.
- Ensure compliance with organizational guidelines and procedures, and federal and state regulations.
- Resolve account payable and receivable issues or queries.
- Accurately perform daily reconciliations of cash, check and credit card transactions, and tally and file invoices.
- Assist in financial and tax audits, and general ledger preparation.
- Prepare income tax returns and corporate reporting requirements.
- Develop monthly financial statements that include cash flow, profit and loss statements, and balance sheets.
- Complete end of month close procedures.
Job Requirements
- Experience from 1-2 year
- Males only
- Can work under stress
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