- Recording daily/weekly/monthly financial transactions (income, expenses, purchases, and sales)
- Maintaining ledgers and financial records
- Reconciling bank statements
- ntering appropriate month-end/year-end journal entries
- Processing invoices and tracking customer payments
- Organizing and processing bills and bill payments
- Following up on overdue payments
- Calculating wages, deductions, and benefits
- Processing payroll and issuing payments
- Ensuring proper tax withholdings
- Managing and processing benefits account transactions
- Preparing financial statements such as balance sheets and income statements
- Generating financial reports for management
- Assisting with budgeting and forecasting
- Maintaining organized records
- Assisting with financial data entry and filing
- Coordinating with accountants and other finance and operational professionals