Bill Customers/Clients
Prepare/Process Bank Deposits
Enter and Pay Vendor Invoices
Monthly Account Reconciliations
General Ledger Maintenance
Budgeting and Cash Flow Forecasting
Federal Grants Management
Monthly Financial Statements
Management of Payroll
File Payroll Taxes and Returns
Benefits Administration
Prepare Books for Year End Tax Filing
Work with Public Accountants
Maintenance of W2-s and 1099's
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