Auditing the books for the town of Eden consists of the following:
Checking every monetary item, for all accounts of the town, received or spent, to the General Ledger and verifying receipts for each of these items. Monthly balancing of the town checkbooks. Analyzing and making the necessary adjustment for any corrections discovered. Assisting the Town Treasurer in any accounting problems that may arise. Proving that all town accounts are in balance at year end. Prepare the financial report and supporting information for the Town Report.
1 Open Seat