1. Provides financial info to management by researching & analyzing accounting data
2. Preparing accounting transactions (Asset, liability, capital, expense & income)
3. Recommending financial actions by analyzing accounting options
4. Summarizing current financial status by collecting information
5. Preparing the Financial Statements (Balance sheet, P/L, & Cash Flow Statement)
6. Reconciling financial discrepancies by collecting and analyzing account info.
7. Securing financial information by completing database backups
8. Payroll Management
9. Maintaining client confidence & keeping financial info confidential.