JOB RESPONSIBILITIES:
Oversee the maintenance and accuracy of financial records and accounts.
Prepare and review all financial reports regularly.
Manage the creation, validation, reconciliation, and allocation of financial transactions.
Supervise cash flow management, ensuring cash balances are monitored and checks are prepared and submitted to the cashier for release.
Handle additional tasks as assigned by management.
Prepare audit reports and financial statements for internal and external review.
Ensure adherence to company policies and compliance with state regulations.
JOB QUALIFICATIONS:
Must have a Bachelor’s degree in Finance, Accountancy, Banking, or a related field.
CPA license is an advantage.
At least 3 years of relevant work experience in accounting or finance.
Proficient in financial data analysis.
Skilled in preparing and analyzing operational and financial statistics.
Capable of reconciling accounts based on reported data, with a solid understanding of financial statements and analysis.
Strong problem-solving and analytical abilities.