Full Time
10000
TBD
Jul 21, 2021
Responsibilities
Organize and update financial records as needed (digital and physical)
Analyze transactions and prepare reports
Perform regular, detailed audits to ensure accuracy in financial documents, expenditures, and investments
Forecast revenue and analyze profit margins
Oversee ledger reconciliation and manage accounts payable/receivable
Participate in budgeting processes
Brief senior managers regularly on the company’s financial status
Liaise with Tax Accountants to track tax payments and returns
Monitor bookkeeping activities regularly