Key Responsibilities:
Financial Record Keeping:
Maintaining accurate financial records, including general ledger entries, and ensuring proper reconciliation of accounts.
Reporting and Analysis:
Preparing financial statements, budgets, forecasts, and other reports to support management decisions and regulatory compliance.
Tax Compliance:
Managing tax filings, ensuring compliance with tax laws and regulations, and preparing tax returns.
Auditing and Compliance:
Conducting internal and external audits to ensure accuracy and compliance with financial regulations.
Financial Discrepancy Resolution:
Identifying and resolving financial discrepancies by analyzing account information and cross-checking transactions.
Budget and Cash Flow Management:
Managing budgets, forecasting cash flows, and providing financial insights to support operational planning.
Payment Processing:
Reviewing contracts, processing payments, and managing accounts payable and receivable.