Bookkeeper

Nikunj Sharma

Implement a system for tracking and managing invoices issued and received.
Record and organize receipts for expenses incurred by the business.
Determine the frequency and format of financial reports (e.g., income statements, balance sheets, cash flow statements).
Develop a process for reconciling bank statements with the financial records to identify and resolve discrepancies.
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Posted Dec 27, 2023

Recorded daily financial transactions into the accounting software. Prepared financial statements and reconciled bank statements.

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