Together with our clients, we work to create a detail-oriented financial operation that will seamlessly integrate within their current business environment.
- Maintain records of accounting transactions and evaluate results efficiently.
- Analyze the accounting process, identify issues, and perform research on all solutions to ensure efficient workflows.
- Administer reconciliation of all contract amounts and manage all claims on a monthly basis.
- Maintain and perform a regular update on accounting systems regularly.
- Provide technology support to clients and analyze all input data for clients.
- Prepare balance sheets and income statements and provide support to all internal and external auditors.
- Develop various systems to improve the efficiency of accounting processes.