Accounting:
Record daily transactions, such as accounts payable, receivable, and payroll
Prepare and reconcile balance sheets
Prepare and review trial balances
Prepare and publish financial statements
Financial analysis:
Analyse revenue, expenses, and cash flows
Use financial modelling to simulate economic scenarios
Budgeting:
Coordinate with management to prepare various budgets & track the budget vs actuals
Manage cash flow
Reporting:
Prepare financial analyses for management
Report on factors that influence company performance
Policies and procedures:
Establish and maintain financial processes and systems
Ensure adherence to industry regulations