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About the Company

Core responsibilities

 
    • Financial record keeping: Recording and categorizing all financial transactions accurately, including income, expenses, and disbursements.
    • Financial reporting: Creating and presenting periodic reports, such as balance sheets, income statements, and cash flow statements.
    • Budgeting and forecasting: Developing budgets, monitoring spending, and creating financial forecasts to aid in future planning.
  • Tax preparation: Computing and filing tax returns and staying informed about current tax legislation.
  • Auditing and compliance: Conducting internal audits, working with external auditors, and ensuring all financial records and practices comply with local, state, and federal regulations.
  • Reconciliation: Reconciling bank statements and various financial accounts to identify and rectify discrepancies. 
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Analytical and advisory roles
 
  • Financial analysis: Analyzing financial data to assess the company’s financial health, identify risks, and find areas for improvement.
  • Strategic guidance: Providing advice to management on how to reduce costs, increase profits, and make informed business decisions.
  • Risk management: Performing risk analysis evaluations and monitoring potential financial issue

s like fund shortages. 

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