- Manage financial statements, including balance sheets, income statements, and cash flow statements.
- Oversee accounts payable and receivable processes to ensure timely payment to vendors and collection from customers.
- Conduct variance analysis to identify areas of improvement in financial performance.
- Prepare monthly closings by reconciling accounts, reviewing journal entries, and preparing final reports.
Job Requirements :
- 8-22 years of experience in accountancy or a related field.
- Solid knowledge of accounting principles, practices, and regulations (e.g., GAAP).
- Proficiency in preparing financial statements (balance sheet, income statement) and performing variance analysis.
- Experience with accounts payable/receivable management systems.