Maintain and update accounting records and files Anaylze budgets and create expense reports Examine tax policies and handle tax payments and returns Meet with clients to discuss confidential accounting issues Post transaction and categorize in the general ledger(e.g. by assets, ,liabilities and expenses) Reconcile bank statements Analyze transactions with internal and external stakeholders Conduct month-end and year-end closures Prepare documents for audits Report to Accounting Manager and work to improve financial processes