Financial Statement Preparation.Manage all accounting transactions, reconcile accounts, and maintain accurate records.Ensure compliance with tax regulations and prepare and file tax returns. Budgeting and Forecasting: Assist in developing and managing budgets and financial forecasts. Internal Controls: Implement and maintain internal controls to ensure the integrity of financial data. Auditing: Conduct internal audits and financial risk assessments. Data Analysis: Analyze financial data to identify trends and provide insights for decision-making. Financial Reporting: Prepare and present financial reports to management and other stakeholders. Cash Flow Management: Monitor and manage cash flow to ensure the company's liquidity.