Prepare, examine, and analyze financial statements and reports.
Manage accounts payable and receivable processes.
Reconcile bank statements and general ledger accounts.
Ensure compliance with accounting standards, tax laws, and company policies.
Assist in budgeting, forecasting, and financial planning activities.
Monitor cash flow and manage daily financial transactions.
Support internal and external audits.
Maintain accurate financial records and documentation.
Collaborate with other departments to ensure smooth financial operations.