Record Keeping:Maintain accurate ledgers, journals, and financial records for all transactions (income, expenses).
Financial Reporting:Prepare key statements like balance sheets, income statements, and cash flow reports.
Auditing & Compliance:Conduct internal audits, reconcile bank statements, and ensure adherence to local, national, and international regulations (e.g., IFRS).
Taxation:Prepare and file tax returns, advising on strategies to minimize tax liabilities.
Budgeting & Forecasting:Develop budgets, forecast financial trends, and monitor spending.
Analysis & Advice:Analyze financial data to provide strategic advice, identify risks, and suggest cost-saving measures.
Payroll & AP/AR:Manage payroll, process invoices, and handle accounts payable/receivable.