Responsible for providing support to the Accounting Department. Job Duties include:Balance and Maintain accurate ledgers Coordinate bank deposits and report financial results on a regular basis to managementPay vendor invoices and track bank account balancesDevelop monthly financial statements, including cash flow, profit and loss statements and balance sheetsHave the knowledge to prepare quarterly and monthly tax returns and along with payroll, operating and business taxes (this is a plus)Prepares bank
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