Maintain records of assets, liabilities, profit and loss, tax liability or other financial activities within the facility.
Prepare, examine, or analyze accounting records, financial statements or other financial reports to assess accuracy, completeness and conformance to reporting and procedural standards.
Analyze financial data in order to prepare financial reports.
Prepare month end journal entries and GL account reconciliations within established time frame.
Prepare required financial reports on a monthly, quarterly and annual basis as required.
Ensure the financial records are accurate and filed timely.
Financial Data Vendor