- A/R, Past Due Collections.
- Bank Reconciliation Multiple Acctounts.
- Daily Cash Reporting.
- Journal Entry, Accruals, GL reconciliation.
- Corporate Credit Card reconciliation and payment processing.
- Assist Controller with Month End Close and Year End Audit, Y/E Inventory, other EXL worksheet financial reporting.
- Microsoft Dynamics SL.
- Bi-Weekly Payroll, Benefits Administration and 401k Management & Reporting.
- Other duties instructed by Controller and CFO.