Reconcile bank accounts and general ledger accounts. Maintain accurate data entry for financial transactions. Assist in the preparation of tax returns and filings. Process collection calls and follow up on outstanding balances. Assist with audit preparations and ensure compliance with accounting standards. Ensure timely and accurate processing of accounting entries. Monitor accounts payable and receivable. Communicate with vendors and clients to resolve financial issues. Answer phone calls, emails, and handle general inquiries. Prepare and format documents and reports. Handle travel arrangements and accommodations for staff or executives. Assist with customer service duties, as needed. Order office supplies and manage inventory. Provide support to other departments or teams as requested.