Key Responsibilities:
Financial Reporting: Prepare monthly, quarterly, and annual financial statements (P&L, Balance Sheet, Cash Flow).
Data Management: Accurately record transactions, manage the general ledger, and maintain financial records
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Compliance: Ensure adherence to laws, regulations, and accounting principles (GAAP).
Analysis & Strategy: Analyze financial data to identify risks, suggest cost reductions, improve profits, and support business decisions.
Budgeting: Monitor budgets, forecast financial performance, and manage cash flow.
Taxation: Compute taxes, prepare and file tax returns, and provide tax planning advice.
Auditing: Conduct internal audits, reconcile bank statements, and resolve financial discrepancies.
Payroll: Process payroll and related payments.