Reconcile accounts
Ensure compliance with GAAP principles
Analyze financial trends
Documenting financial transactions
Manage balance sheets and profit/loss statements
Perform audits
Compiling and reviewing financial statements
Computing taxes
Creating operational budgets
Financial forecasting
Manage tax payments
Preparing financial statements
Recommending accounting best practices
Reconcile bank statements
Analysing business plans
Computer and accounting software proficiency
Conduct month-end and year-end closures
Create and manage budgets
Ensure timely bank payments
Examine financial discrepancies
Examining expenses submitted by employees
Making financial projections
Manage all accounting transactions
Organize internal audits