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Job Description

  • Maintain accurate financial records, including recording all financial transactions in accounting software or ledgers, managing bank statements, and reconciling accounts
  • Prepare financial statements such as income statements, balance sheets, cash flow statements, and other reports to provide management with a clear understanding of the centers financial performance
  • Create and manage the centers budget, including monitoring actual expenditures against the budget, analyzing variances, and providing insights to management on the centers financial performance
  • Manage the centers accounts payable and receivable, including recording payments and invoices, managing vendor and client relationships, and ensuring timely payments and collections
  • Ensure compliance with all tax regulations and requirements, including preparing and submitting tax returns and payments on time
  • Support external auditors in the annual financial audit process and ensure that all financial records are maintained and organized in a manner that facilitates the audit process
  • Process payroll and ensure that all employees are paid accurately and on time
  • Analyze financial data and provide insights to management on financial performance, trends, and opportunities for improvement
  • Ensure that all financial practices and procedures comply with relevant laws, regulations, and company policies and procedures
  • Communicate effectively with all stakeholders, including senior management, employees, and external parties, to ensure effective collaboration and achieve accounting objectives