Managed all financial transactions, daily deposits, weekly int’l wire transfers, and prepared all invoices. Responsible for maintaining, reconciling inventory on 5-6 offsite storage facilities and logistics of imports, all AP & AR. Recorded all accounts payable and generated payments for vendor nationally and internationally. Posted all adjusting entries needed for month end close. Worked closely with CPA firm to prepare financials and year-end tax returns. Assisted in managing office personnel