- Preparing budget and financial forecasts.
- Keep up with financial policies, regulation and legislation.
- Compiling and presenting reports budgets.
- Organize and maintain financial records.
- Examine statements to ensure accuracy.
- Analyze and report on financial status including income
statement variances, communicating financial results to
management, budget preparation and and analysis.
- Creating periodic reports, such as balance sheets, profit
and loss statement.
- Assisting management in the decision making process by preparing budgets and financial forecasts.
- ensure all invoice are correct and consistent.
- Prepared other account list reconciliation (Account Receivable, Account Payable and other Asset).
- Other tasks assigned by management.