- Records daily financial transactions and maintains accurate ledgers
- Verifies receipts and makes payments to the bank through cash or cheque
- Monitors office expenses and pays vendor invoices
- Aids in the handling of tax forms
- Processes and maintains payroll records
- Verifies accuracy of transactions and makes sure they’re correctly entered in ledgers
- Develops daily and monthly financial statement including cash flow , profit and loss statement and balance sheet
- Proficient in operating Quick Book.