Key Responsibilities
Maintain accurate financial records: Record daily transactions and ensure transparency.
Prepare financial statements: Create balance sheets, income statements, and cash flow reports to assess financial health.
Audit and reconcile: Conduct internal audits, reconcile bank statements, and verify financial documents.
Tax compliance: Calculate tax payments, file returns, and ensure adherence to tax laws
Budgeting and forecasting: Assist in preparing budgets and financial forecasts.
Payroll processing: Calculate employee paychecks and manage payroll systems like ADP or Paychex.
Accounts payable/receivable: Handle invoices, vendor statements, and payments.