Prepare and maintain financial statements, reports, and records.
Manage accounts payable and accounts receivable, including invoicing and reconciliations.
Monitor and reconcile bank accounts and general ledger entries.
Assist with budgeting, forecasting, and financial planning.
Ensure compliance with accounting standards, tax laws, and internal policies.
Support audits by providing necessary documentation and reports.
Analyze financial data and provide insights to management.
Maintain confidentiality of financial information.