Job description
Prepare budget and financial forecasts
Publish financial statements in time
Conduct month-end and year-end reconciliation process
Setup systems and processes as per accounting standards
Collect, analyze and summarize account information
Compute taxes and prepare tax returns, balance sheet, profit/loss statement etc
Develop periodic reports for management
Ensure Intercompany reconciliation and reporting
Audit financial transactions and document accounting control procedures
Keep information confidential and secure them with random database backups