




Position Summary: You will support accounting operations by recording transactions, reconciling accounts, and preparing financial reports. Key Responsibilities: 1. Manages income, expenses, and bank transactions. 2. Assists with account reconciliation and balance reviews. 3. Prepares financial reports and controls funds. * Record income, expenses, and bank transactions in the general journal. * Assist with account reconciliation and balance reviews. * Prepare reports such as the income statement or balance sheet. * Conduct cash counts and control petty cash funds. * Organize and archive digital tax receipts. * Enter invoices and payroll into accounting systems. * Follow up on supplier payments and accounts receivable. Salary: $3,200.00 - $15,251.81 per week Work Location: On-site employment


