- Preparing and recording daily entries in the accounting system
- Preparing periodic financial reports (monthly, quarterly, annual)
- Follow up on debit and credit accounts
- Settlement of bank accounts and preparation of bank reconciliations
- Preparing tax returns and ensuring compliance with regulations
- Analyze financial data and provide recommendations to management
- Review invoices and expenses and ensure their accuracy
- Contributing to the preparation of budgets and financial forecasts
- Dealing with external auditors and providing the required documents