Manages daily financial transactions, maintains ledgers, reconciles accounts, and supports financial reporting to ensure data accuracy and integrity. Record and review daily financial transactions accurately (sales, purchases, receipts, payments) Maintain general ledgers and prepare journal entries Preparation and reconcile of monthly statements Monitor and maintain accounts payable and receivable Prepare and maintain financial reports and supporting documentation Assist with month-end and year-end closing processes Ensure proper documentation and filing of financial data Show more Show less