to join their team. Perform bank reconciliations. Compile and review income statements. Compile monthly including income statements and balance sheet reconciliations. Review overhead expenses. Compile cash flow forecasts
and Credit
Cash and Credit Cards. Monthly reconciliations of the balance sheet. Review of invoices and statements,
understanding of cost reduction. Monthly reconciliations of the balance sheet. Review of invoices and statements,
reduction.
journal entries and reconciliations. Update accounting records from source documents. Review trial balances