Accounting Specialist
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Balance financial records and check for inaccuracies, audit individual accounts on a random or scheduled basis, check for major financial issues. Ensure client projects stay on budget, publish audited financial statements to federal, state and local agencies. Work with executives and CEOs to establish budgets. Assist with external company and forensic audits.
Manage all financial transactions, posting debits and credits, producing financial statements, and recording all transactions. Prepare management reports and financial summaries using Microsoft Excel detailing the company’s financial status. Generate bank deposits, verify, and balance receipts. Create invoices and track overdue accounts. Manage payroll and prepare payroll tax returns. Research and resolve billing and collections disputes.