Record and categorize income and expenses
Reconcile bank and credit card accounts monthly
Maintain accurate, up-to-date bookkeeping records
Provide monthly financial reports (P&L, Balance Sheet)
Communicate on unclear transactions or missing documentation
Ongoing workflow and systems review to maintain efficient financial processes
Record and categorize income and expenses
Reconcile bank and credit card accounts monthly
Maintain accurate, up-to-date bookkeeping records
Provide monthly financial reports (P&L, Balance Sheet)
Communicate on unclear transactions or missing documentation
Ongoing workflow and systems review to maintain efficient financial processes