Job Description
Key Responsibilities:
Financial Record Keeping:
Maintaining accurate and up-to-date financial records, including the general ledger and financial statements.
Financial Analysis and Reporting:
Analyzing financial data to identify trends, risks, and opportunities, and preparing reports to support business decisions.
Compliance:
Ensuring compliance with local and international accounting standards and regulations.
Budgeting and Forecasting:
Preparing and reviewing budgets, forecasts, and financial reports.
Financial Auditing:
Conducting audits to ensure the accuracy and reliability of financial records.
Tax Preparation and Filing:
Preparing and filing tax returns and ensuring compliance with tax regulations.
Reconciliation:
Reconciling bank statements and other financial accounts to ensure accuracy.
Cash Flow Management:
Managing cash flow to ensure the organization has sufficient funds to operate.
Payroll Processing:
Managing payroll functions, including calculating employee paychecks and preparing related reports.