-
Handle full-cycle bookkeeping, including accounts payable, accounts receivable, general ledger entries, bank reconciliations, and payroll processing
-
Prepare monthly, quarterly, and year-end financial statements
-
Maintain accurate records of all financial transactions
-
Manage chart of accounts and ensure accuracy of financial coding
-
Prepare and file sales tax, payroll tax, and other state/local tax filings
-
Assist in preparing business and individual tax returns (as needed)
-
Monitor cash flow and produce cash flow projections
-
Maintain compliance with federal, state, and local financial legal requirements
- Reconcile credit card and bank statements
-
Process payroll and ensure compliance with labor laws and tax requirements