- Prepare and analyze financial statements to ensure accuracy and compliance with regulations, providing insightful reports to management.
- Manage accounts payable and receivable processes, ensuring timely payments and collections to maintain healthy cash flow.
- Conduct monthly and annual reconciliations of bank statements and general ledger accounts to identify discrepancies and ensure financial integrity.
- Assist in budgeting and forecasting activities, collaborating with various departments to align financial objectives with business goals.
Other jobs at Parkplantrading