<ul><li>Performing bank reconciliations to ensure financial accuracy</li><li>Managing accounts receivable: invoices, payments, and follow-ups</li><li>Assisting with the budgeting process by organizing financial data</li><li>Processing accounts payable and ensuring timely vendor payments</li><li>Conducting regular account reconciliations to identify and resolve discrepancies</li></ul>
Performing bank reconciliations to ensure financial accuracy
Managing accounts receivable: invoices, payments, and follow-ups
Assisting with the budgeting process by organizing financial data
Processing accounts payable and ensuring timely vendor payments
Conducting regular account reconciliations to identify and resolve discrepancies