Guarantees compliance with financial reporting and other standard accounting practices when preparing financial statements, reviewing, and analyzing the company's finances.
Balancing the company's bookkeeping ledgers and bank statements
Create a monthly management report for the interested parties.
Finishing up the examination of employee spending
Keeping track of income and expense accounts
Creating financial reports for the business using data on income and expenses
Monitoring the business's finances depending on its financial situation
Submitting tax returns and other required payments
Creating budgets and financial predictions to aid management in making decisions.
Examine and provide feedback on cross-functional teams' budget proposals before management review and approval
Examines present procedures, confirms that the necessary paperwork is in place, and offers suggestions for improvements.