Summary of results to be achieved
- Maintain adequate cash in accounts to meet cash flow needs
- Provide quarterly and year end Profit & Loss statement and Cash Flow statement
- Provide cash flow pro forma for upcoming year
- Summarize tax reporting information
Work accountable for:
- Banking - deposits, withdrawals, petty cash, reconciliation
- A/P
- A/R
- Cash Flow Reporting
- P&L Statement
- tax reporting
- quarterly tax payments
- payroll
- credit accounts
Standards by which work will be evaluated
- Accuracy of bookkeeping
- Indendent audit of books
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