Report on financial projections (e.g. liquidity and cash flow)
Manage and maintain all financial activities in the organization, including accounts payable, accounts receivable, and payroll. Ensure compliance with financial policies, standard procedures, and regulations. Monitor financial reports, analyze trends, and provide meaningful financial information for decision-making. Prepare financial reports, statements, and records for internal and external stakeholders. Accurately input and maintain financial data in an organized, easy-to-understand format. Respond to financial inquiries and provide financial expertise when required. Communicate complex financial information to non-finance managers and suggest solutions to financial issues. Prepare and file various tax forms and financial reports to regulatory authorities. Develop and maintain positive working relationships with other departments, stakeholders, and external partners.