Financial Operations: Manage accounts payable and receivable, process invoices, and handle expense reports.
Reconciliation & Reporting: Reconcile bank statements, maintain the general ledger, and assist in preparing balance sheets and income statements
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Compliance & Audit: Ensure adherence to financial regulations, tax laws, and company policies, while providing documentation for internal/external audits.
Closing Activities: Perform month-end and year-end closing procedures, including accruals and provisions.
Documentation: Maintain accurate, up-to-date financial records and documentation.