To manage daily financial operations, reporting, reconciliations, and compliance while supporting budgeting, cash flow management, and process improvements. Reports to the Finance Manager.

Record and maintain daily financial transactions (AR, AP, cash receipts)
Prepare journal entries and complete month-end account reconciliations
Monitor and report on cash flow and investment balances
Ensure compliance with accounting standards and company policies
Support year-end closing procedures and external audits
Identify and implement financial process improvements
Train staff on financial systems and software
Oversee tax filings and regulatory compliance
Perform additional finance-related duties as required
  • Accounting