Maintain and reconcile financial transactions according to established accounting policies
Prepare monthly, quarterly, and yearly financial statements
Review invoices, expense reports, and payment requests for accuracy
Manage timely processing of staff salaries, benefits, and related documentation
Support tax filing processes and ensure compliance with relevant tax laws
Ensure adherence to accounting standards including GAAP and IFRS
Safeguard the accuracy, confidentiality, and security of financial information
Use accounting software for data entry, reporting, and financial management
Provide financial insights to stakeholders in clear, understandable terms