Manage the full accounting cycle (AP, AR, GL, payroll entries, accruals, etc.)
Prepare monthly, quarterly, and annual financial statements
Ensure timely bank reconciliations and account reconciliations
Monitor cash flow and support treasury activities
Ensure compliance with tax regulations and statutory requirements
Coordinate with external auditors and tax advisors
Develop accounting policies and internal control procedures
Establish proper documentation and filing systems
Design and implement accounting workflows and SOPs
Build and supervise the accounting team as the company expands