Managing and overseeing the preparation of monthly, quarterly, and annual financial statements and reports, ensuring compliance with accounting standards.
Performing detailed trend and variance analysis to ensure the financial accuracy of all reports and to identify any discrepancies.
Assisting with the preparation and management of the annual budget and periodic forecasts, focusing on accurate cash flow forecasting and overall financial health.
Analyzing revenue and profitability metrics, including price and volume analysis, profitability by product or customer, and overall financial fluctuations.
Evaluating financial performance, ensuring cost structures are optimized, and identifying opportunities for cost reduction and efficiency improvements.
Handling general accounting tasks such as bookkeeping, reconciliations, and assisting with audits to ensure accurate financial records.