processing journal entries, preparing balance sheet reconciliations, updating pricing, and managing reconcile accounts. Prepare Balance Sheet Reconciliations Prepare balance sheet reconciliations accurately at
bookkeeping activities, from Trail balance to Balance Sheets. Create and update spreadsheets of daily transactions
bookkeeping activities, from Trail balance to Balance Sheets. Create and update spreadsheets of daily transactions
to trial balance Reconciliation of all balance sheet accounts as well as agreement of inter-company balances