Job Description
- Record and process financial transactions for multiple client accounts.
- Prepare journal entries and assist with account reconciliations.
- Support month‑end and year‑end closing procedures for clients.
- Assist in preparing financial statements in compliance with accounting standards.
- Prepare tax computations and ensure timely submission of tax filings for clients.
- Maintain documentation for audit, compliance, and client reporting.
- Participate in budgeting and forecasting ac...
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