Prepare and remit annual 1099's ⢠Prepare monthly, quarterly, and yearly sales and use tax returns ⢠Maintain all accounts payable reports, spreadsheets and files ⢠Reconcile AP aging to general ledger ⢠Prepare monthly bank and credit card reconciliations ⢠Prepare analysis of vendor or customer accounts as required ⢠Assist fellow team members and department managers with issues, as needed ⢠Review all work orders for appropriate charges before requesting purchase orders or posting of invoice for payment ⢠Perform day to day financial transactions, including verifying, classifying, computing, posting and recording accounts receivablesā data ⢠Reconcile daily deposits ⢠Prepare rebuttals to chargebacks ⢠Reconcile the accounts receivable ledger to ensure all payments are accounted for ⢠Facilitate payment of invoices due by sending bill reminders and contacting clients ⢠Help maintain financial policies and procedures within the accounting department to attain maximum efficiency and effectiveness ⢠Prepare journal entries as required ⢠Perform month end close processes ⢠Assist with external audits, including responding to inquiries ⢠Other duties as assigned . Essential Duties and Responsibilities: ⢠Reconcile electronic payments in AP to the general ledger, and bank system ⢠Process credit card transactions, ensuring proper approvals, documentation, and coding ⢠Create accounts payable bills and enter into the accounting system ⢠Ensure all supporting invoices are processed timely and accurately by location employees ⢠Maintain vendor records, including obtaining W-9s, updating records with tax status and tax IDs.