• Prepare and maintain accurate financial records and reports
• Manage accounts payable and accounts receivable processes
• Perform bank reconciliations and monitor cash flow
• Prepare monthly, quarterly, and annual financial statements
• Assist with budgeting and financial forecasting
• Ensure compliance with financial regulations and company policies
• Process payroll and manage statutory deductions where applicable
• Monitor expenses and identify cost-saving opportunities
• Support internal and external audits
• Maintain general ledger and journal entries
• Analyze financial data to support business decisions
• Prepare tax filings and ensure regulatory compliance