Prepare financial statements, reports, and budgets
Analyze financial data and provide recommendations based on findings
Manage accounts payable and receivable, payroll, and general ledger
Ensure compliance with financial regulations and accounting standards
Monitor and forecast cash flow, and make recommendations for improvements
Collaborate with other departments to improve financial processes and procedures
Provide advice and guidance on financial decisions and strategies
Develop and implement accounting policies and procedures
Perform audits and reviews to ensure accuracy of financial records
Maintain and update accounting databases and software
Conduct regular analysis of financial performance and provide reports to management