
Financial record-keeping and reporting: Preparing and maintaining financial records, general ledger accounts, and financial statements like balance sheets and income statements.
Tax and compliance: Managing tax filings, ensuring compliance with tax laws and other financial regulations, and overseeing internal and external audits.
Financial analysis and budgeting: Analyzing financial data to identify trends and variances, preparing and reviewing budgets and forecasts, and providing insights to management.
Accounts management: Handling accounts payable, accounts receivable, payroll, and reconciling bank statements.
Financial advice: Providing financial advice to management to support strategic decisions and the overall financial health of the organization.