Responsibilities: Ensure compliance with US tax laws Prepare US tax returns Manage client relationships and communication Perform monthly bank and credit card reconciliation Maintain general ledger post journal entries, and prepare financial report
- Maintain general ledger & reconcile accounts -Handle AP/AR, payroll & bank reconciliations - Prepare financial statements -Assist in US tax filings (1120, 1065, 1040) -Analyze trends & ensure policy compliance - Able to handle client communication.