Final review of financials (P&L, Balance Sheet) and U.S. tax returns (1040, 1065, 1120, 1120S); verify reconciliations, entries, and accuracy; identify issues, give feedback, guide staff, ensure IRS/state compliance, and report to U.S. management.
Final review of financials (P&L, Balance Sheet) and U.S. tax returns (1040, 1065, 1120, 1120S); verify reconciliations, entries, and accuracy; identify issues, give feedback, guide staff, ensure IRS/state compliance, and report to U.S. management.