Financial Reporting & Analysis: Prepare P&L, balance sheets, cash flow statements; analyze performance, trends, and variances.
Bookkeeping & Record Management: Maintain accurate general ledger, document transactions, and reconcile bank accounts.
Tax Compliance: Prepare and file tax returns, ensuring adherence to local and international laws, and advise on tax optimization.
Budgeting & Forecasting: Assist in budget creation, monitor spending, and forecast future financial needs.
Internal Controls & Audits: Conduct internal audits, identify financial risks, and ensure compliance with GAAP.
Payroll & Accounts Payable/Receivable: Manage payroll, process payments, and handle customer invoices/collections.
Financial Guidance: Provide strategic advice to management…