Financial Record Keeping: Maintaining accurate and complete records of all financial transactions, including general ledger entries.
Financial Statement Preparation: Preparing and reviewing financial statements such as balance sheets, income statements, and cash flow statements.
Bank Reconciliation: Reconciling bank statements with general ledger entries to ensure accuracy.
Financial Analysis: Analyzing financial data to identify trends, potential risks, and opportunities.
Budgeting and Forecasting: Assisting in the development and monitoring of budgets and forecasts.
Tax Compliance: Ensuring compliance with tax regulations and preparing tax returns.
Auditing: Conducting financial audits to verify the accuracy and integrity of financial records.
Internal Controls: Implementing and monitoring internal controls to ensure financial security and compliance.
Reporting: Preparing financial reports for management and other stakeholders.
Consultation: Providing financial advice to management on strategic decisions and financial planning.