Assist in the preparation and maintenance of financial statements, reports, and records.
Reconcile bank statements and other financial documents.
Process accounts payable and accounts receivable transactions.
Prepare and process invoices, bills, and expense reimbursements.
Assist in month-end and year-end closing procedures.
Assist with budget preparation and variance analysis.
Perform data entry and maintain accurate financial databases.
Assist in the preparation of tax returns and compliance with local regulations.
Collaborate with the senior accounting team on various financial projects.
Respond to financial inquiries from other departments and external parties.
Assist with ad-hoc financial tasks and projects as assigned.,
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