operations, including accounting, maintain the general ledger/ trial balance and ensure the accuracy of financial
and reporting Adherence to tax regulations General ledger reconciliations Process transactions Monthly
credit card reconciliations
next start Duties: Update and maintain the general ledger Reconciliation of entries into Sage Evolution
month-end reconciliations for all Balance Sheet General Ledger accounts
month-end reconciliations for all Balance Sheet General Ledger accounts Preparation of Audit files and liaison
next start Duties: Update and maintain the general ledger Reconciliation of entries into Sage Evolution