Prepare and examine financial records, statements, and reports to ensure accuracy and compliance with laws and regulations.
Maintain the general ledger and record financial transactions accurately.
Manage accounts payable and receivable.
Prepare and file tax documents and ensure timely compliance with tax regulations.
Reconcile bank statements and monitor cash flow.
Support month-end and year-end close processes.
Assist in budgeting, forecasting, and financial planning activities.
Collaborate with external auditors during financial and tax audits.
Identify areas for improvement and implement financial controls and processes.
Stay updated on financial regulations and best practices.