Reconcile accounts
Manage balance sheets and profit/loss statements
Manage tax payments
Preparing financial statements
Documenting financial transactions
Ensuring precision through account reconciliation
Examine financial discrepancies
Financial reporting
Forecasting
Performing risk analysis evaluations
Analysing business plans
Analyze financial trends
Budgeting
Reviewing employee timesheets
Assist with other accounting projects
Auditing financial information
Comply with financial policies and regulations
Computing taxes
Conducting audits
Create reports
Creating, reviewing and presenting budgets
Ensure timely bank payments
Maintaining financial records
Manage accounts payable and accounts receivable