Supervise financial and accounting processes and ensure adherence to company/federal laws.
Prepare and distribute budget reports and financial statements to management in a timely fashion.
Manage account payables and receivable activities in a timely manner.
Perform account reconciliation activities on periodic basis.
Update general ledger on a regular basis and ensure its accuracy and completeness.
Assist in goals setting and performance improvements for finance staff.
Register all finance transactions accurately for future references.
Perform necessary variance and other accounting analysis to identify and resolve any discrepancies or gaps.
Participate in overall annual budgetary process.
Perform cost analysis and recommend process improvements for cost-effectiveness.
Manage financial reporting and management tasks.
Address financial issues and inquiries from internal and external customers.
Perform financial audit and prepare audit reports with recommendations to Finance manager.
Create financial presentations for management and clients.
Develop best practices to enhance operational performance and productivity.