Implemented the Peachtree Accounting System program for entire company.
Responsible for the sales and purchase invoices, inventory, budgets, cash flow, trial balance, general ledger, AR/AP, payroll, payroll taxes reports, sales taxes, 940- 941 UCT -6 reports, cash disbursement, cash receipts, reconciliation for seven first class banks and financial statements.
Responsible for submitting financial reports to bank's quarterly and prepared all necessary reports for year-end audit.