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Record and manage daily financial transactions, including income, expenses, and payments, ensuring accuracy in financial records. Reconcile all accounts and bank statements. Complete month-end audits of all financial accounts. Review and process AR and AP. Maintain general ledger and journal entries. Identify and resolve discrepancies in financial data. Process payroll ensuring accuracy in wages, deductions and taxes. Answer employee questions and concerns. Improve bookkeeping processes. Provide management with accurate financial records and reports in required intervals. Prepare financial reports to be used by tax preparers to accurately file tax returns.
Qualifications
Location: On-site (Charleston, SC)
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