Maintain accurate and up-to-date financial records
Record daily transactions (journal entries, ledgers, etc.)
Reconcile bank statements and general ledgers
Prepare financial statements: income statement, balance sheet, cash flow statement
Assist with monthly, quarterly, and annual closings
Generate financial reports for management decision-making
Manage outgoing bills and payments
Issue invoices and follow up on receivables
manage collections
Assist in preparing budgets
Track performance against budgets
Support in financial planning and cash flow forecasting
Coordinate with other departments for financial data
Advise management on financial decisions and risks