Reconciling accounts: Ensuring that accounts are accurate and up to date
Managing accounts payable and receivable: Ensuring that bills are paid on time and invoices are issued and tracked
Preparing financial statements: Assisting in the preparation of financial reports and account reconciliations
Budgeting and forecasting: Analyzing financial data to help predict future trends and set budgets
Financial analysis: Analyzing weekly and monthly results, and reviewing key performance indicators
Preparing documentation for auditors: Preparing reports and other documentation for auditors
Ensuring compliance: Ensuring compliance with tax regulations and laws