Description
1. Maintain and update accounting records and files2. Analyze budgets and create expense reports3. Examine tax policies and handle tax payments and returns4. Meet with clients to discuss confidential accounting issues5. Post transactions and categorize records in theĀ general ledger (e.g. by assets, liabilities and expenses)6. Reconcile bank statements7. Analyze transactions with internal and external stakeholders8. Conduct month-end and year-end closures9. Prepare documents for audits10. Advise clients on financial issues via email or phone
Discussion
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