Job descriptionReview and fix the existing Chart of Accounts to ensure proper structure and complianceRecord, adjust, and correct journal entries accuratelyCategorize and reconcile all bank and credit card transactionsGenerate standard financial reports (P&L, Balance Sheet, Cash Flow)Ensure tax compliance by maintaining properly classified and labeled accounts (e.g., input / output VAT)Work closely with the business owner or accountant for monthly reporting and audit readinessManage QuickBooks Online integrations (e.g., banks, payroll, 3rd party tools if needed)