Financial Reporting: Prepare balance sheets, profit and loss statements, and cash flow reports.
Transaction Management: Reconcile accounts payable and receivable, and manage general ledgers.
Tax Compliance: Compute taxes, prepare tax returns, and ensure adherence to local and federal laws.
Auditing & Reconciliations: Conduct internal audits, verify bank statements, and resolve financial discrepancies.
Budgeting Support: Assist management with budget forecasts and cost reduction analysis.