• Prepare and maintain financial records, reports, and general ledgers
• Perform month-end and year-end close processes
• Reconcile bank statements and ensure accuracy in financial records
• Process accounts payable and receivable transactions
• Prepare tax returns and ensure compliance with applicable laws and regulations
• Assist in the preparation of budgets and financial forecasts
• Conduct internal audits and support external audits
• Monitor and analyze financial data to identify trends and variances
• Maintain and update accounting systems and databases
• Collaborate with other departments to ensure accurate financial reporting
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