Responsibilities:1. Manage all accounting transactions, including accounts payable, accounts receivable, and general ledger entries.2. Prepare financial statements and reports for management review.3. Reconcile bank statements and ensure accuracy of financial data.4. Assist with budget preparation and monitoring.5. Maintain financial records and files in an organized manner.6. Support external audits by providing necessary documentation and explanations.7. Analyze financial data and provide recommendations for improvement.