Summarize financial status of reporting entities/branches by gathering financial information, preparing Balance Sheet, Income Statement, Cash Flow Statements, and other schedules as per compliance requirements.Account Management: Manage and maintain strong relationships with Clients ensuring high levels of satisfaction and loyalty.Strategic Planning: Develop and implement plans to drive sales growth, improve engagement, increase market share & revenuePerform analysis necessary to identify the root cause of Income Statement and Balance Sheet movements prior to audit completion.Ensure accurate and timely submission to government authorities on a monthly/quarterly basis ensuring compliance to the SLA.Demonstrate good working knowledge of Accounts Payable, Payroll, Cash Management, Leases, Revenue Recognition, Billing, functions to assist in responding further queries arising at the time of audit engagement.