Prepare and file personal and corporate tax returns
Prepare financial statements
Reconcile the balance sheet and profit and loss accounts
Generate financial performance reports monthly, quarterly, and annually
Record and maintain accurate financial transactions
Review financial data for completeness and accuracy
Apply accounting principles, policies, and regulations
Assist with bank reconciliations
Maintain confidentiality of sensitive information
Perform administrative and general office duties, including filing
Manage, verify, and update multiple ledgers
Assist with invoicing and payment processes
Prepare timely reports as needed