Financial Reporting & Records: Maintain accurate general ledgers, prepare balance sheets, income statements, and cash flow reports.
Compliance & Audit: Ensure compliance with local, state, and federal tax regulations, file tax returns, and assist with internal/external audits
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Transactions & Payroll: Manage accounts payable and receivable, reconcile bank accounts, and process payroll.
Budgeting & Analysis: Develop budgets, provide financial forecasts, and analyze financial data to identify cost-reduction opportunities.
Data Integrity: Reconcile discrepancies and maintain confidentiality of financial data.