Presentation
Record and verify daily financial and income transactions.
Audit sales, receipts, payments, and revenue records.
Reconcile cash, bank, and ledger accounts.
Identify and investigate accounting discrepancies and errors.
Prepare daily, weekly, and monthly financial reports.
Maintain accurate accounting records and supporting documents.
Monitor income and expenses and ensure proper classification.
Assist with internal and external audits.
Ensure compliance with accounting procedures and company policies.
Maintain confidentiality of financial information.
Coordinate with other departments regarding financial transactions.

