Key Responsibilities:
1. Prepare financial statements: Compile, analyze, and verify financial data to ensure accuracy in reporting.
2. Manage accounts payable and receivable: Monitor and track payments, invoices, and transactions to maintain financial health.
3. Conduct budgeting and forecasting: Assist in creating and monitoring budgets to help the organization in financial planning.
4. Ensure compliance with regulatory requirements: Stay updated on financial laws and regulations to avoid penalties and legal issues.
5. Assist in audits: Cooperate with auditors to provide necessary documentation and information for financial reviews.
Required Skills and Expectations:
- Proficiency in accounting software and Microsoft Excel.
- Strong attention to detail and accuracy in financial data.
- Good communication skills to collaborate with team members and external stakeholders.
- Knowledge of tax laws and compliance regulations.
- Ability to work independently and meet deadlines.
- Bachelor's degree in Accounting or Finance, with at least 4 years of relevant experience.