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Financial Reporting: Prepare accurate financial statements, including balance sheets, profit and loss accounts, and cash flow reports, ensuring full compliance with accounting standards and legal regulations.
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Budgeting and Forecasting: Assist in developing annual budgets and financial forecasts. Monitor performance against budgeted targets and provide insightful analysis to inform decision-making.
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Taxation: Manage tax planning, ensuring all tax filings are accurate and submitted on time in compliance with relevant tax laws.
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Bookkeeping: Maintain comprehensive and up-to-date financial records, including accounts payable, receivable, payroll, and general ledger entries.
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Financial Analysis: Conduct financial analysis to support strategic planning, identify cost-saving opportunities, and enhance overall financial performance.
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Internal Controls: Establish and maintain effective internal controls to safeguard company assets and ensure the accuracy of financial data.
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Audits: Coordinate external audits, respond to audit queries, and implement audit recommendations to improve financial processes.
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Vendor and Client Management: Oversee financial transactions with vendors and clients, ensuring accuracy and adherence to agreed terms.
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Compliance and Regulation: Stay updated on accounting standards, tax regulations, and industry best practices, implementing changes where necessary to ensure compliance.
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Financial Advice: Provide data-driven financial insights and strategic advice to the management team to support business growth and investment decisions.