Develops, implements and/or maintains one or more accounting systems: Journal entries, General Ledger, Accounts Receivables, Accounts Payable, Revenue Reconciliation, etc
Reviews and interprets financial reporting requirements, rules and regulations
Balances books and prepares profit and loss, cash flow, income and balance sheet statements
Monitors and develops monthly reports of revenues and expenditures for projects
Provides record of assets, liabilities and other financial transactions
May prepare federal, state and local reports and tax returns
May assist in the setup of processes and procedures that properly capture, track and report revenue, including deferred revenue, in accordance with the company revenue recognition policy
May generate revenue reports for internal and/or external use
May interpret reports and records for managers/stakeholders
May be involved in reviewing, tracking and maintaining billing information in the financial systems, ensuring accuracy and compliance with US GAAP and other accounting regulations