Prepare accurate and timely financial statements, including balance sheets, income statements, and cash flow statements.
Assist in the development and monitoring of budgets and financial forecasts.
Ensure compliance with local and national tax regulations, including the preparation and filing of tax returns.
Co ordinate with internal and external auditors, providing necessary documentation and support during audits.
Manage accounts payable and receivable, ensuring timely processing of invoices and payments.
Stay updated on changes in financial regulations and ensure company compliance.