management, including reconciling cash drawers and bank deposits. Prepare financial reports, including sales
process. Reconcile sales taxes, payroll taxes, and bank accounts at the end of each month. Monitor financial
process. Reconcile sales taxes, payroll taxes, and bank accounts at the end of each month. Monitor financial
outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Ensure all
outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Ensure all