Keep records of financial transactions for business, verifying, allocating, posting, exporting and importing details of transactions to/from computer files.
Perform data entry transferring hard copies of bank, credit card and loan statements, invoices, receipts, and check stubs to electronic file, also electronic transfers and filing.
Reconcile and balance accounts, generate expense, profit/loss, and balance sheet reports, and mail monthly statements to customers.
Prepare withholding. Social Security, and quarterly, corporate and individual...