Description
Prepares financial statements, reports, and forecasts for the business to ensure financial stability.
Drafts budgets, income statements, balance sheets, tax returns, and reports required by regulatory authorities. Manages the risks involved in the financial activities of the business.
Collaborate with cross-functional teams to provide financial insights that influence decision-making. Monitor cash flow projections and manage investment strategies to optimize financial resources.
Lead financial audit preparations and coordinate with external auditors to ensure compliance with regulatory requirements.
Prepare forms and manuals for accounting and bookkeeping personnel, and direct their work activities. Survey operations to ascertain accounting needs and to recommend, develop, and maintain solutions to business and financial problems.
Handled account receivables and prepared monthly and quarterly reports.
Worked to resolve accounting and finance issues in a timely manner.
Reviewed financial documentation to ensure accuracy.
Made necessary adjustments to invoices and tracked customer payments.
Prepared detailed spreadsheets and monthly financial statements.
Coordinated with other departments to ensure consistency.