Financial Data Entry: Provide precise and timely input of financial transactions to maintain up-to-date and accurate records, enhancing overall financial transparency.
Bank Reconciliation: Assist in reconciling bank statements to ensure consistency in financial records, helping to identify discrepancies early and improve financial accuracy.
Basic Financial Reporting: Generate monthly and quarterly financial reports, including income statements and balance sheets, to support strategic decision-making for business growth.
Accounts Payable/Receivable Management: Help manage invoices and collections to maintain healthy cash flow, ensuring timely payments and contributing to financial stability.
Expense Tracking: Facilitate the tracking and categorization of expenses to assist in budgeting and financial planning, enabling better resource allocation.
Payroll Assistance: Support payroll processing and maintain employee records, ensuring accurate and timely compensation while promoting employee satisfaction.
Experience: Less than 6 months
Experience: Less than 6 months
“I have found someone who is smart, has a great work ethic and is easy to work with.”
Sara Brumfield
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