Technical Competencies & Experience: Bookkeeping & Transactions: Post daily journal entries, process vendor invoices, and record customer payments. Account Reconciliations: Perform monthly bank, accounts payable, and accounts receivable reconciliations. Financial Reporting Support: Help prepare balance sheets, income
Technical Competencies & Experience: Bookkeeping & Transactions: Post daily journal entries, process vendor invoices, and record customer payments. Account Reconciliations: Perform monthly bank, accounts payable, and accounts receivable reconciliations. Financial Reporting Support: Help prepare balance sheets, income