•Prepares the following monthly reports:
◦Profit and Loss Statement/
◦Balance Sheet with supporting schedules.
◦Trends of operations.
•Posts details of business transactions in the General and Operating Ledgers.
•Computes the following:
◦Management Fee.
◦Owner’s Share.
•Performs the reconciliation of the following:
◦Bank statements.
◦Inter-company accounts.
◦Owner’s accounts.
•Finishing monthly financial report (pegboard) to be distributed to internal, owners.
•Prepares the following:
◦Monthly analysis of accounts.
◦Status of barter agreements.
◦Schedules for profit budget.
•Performs other duties as assigned.