Key Responsibilities:
- Manage and maintain the general ledger, ensuring all accounts are reconciled on a monthly basis.
- Oversee the preparation and review of financial statements, reports, and month-end closing activities.
- Contribute to the development and oversight of annual budgets and financial forecasts.
- Analyze financial performance against budget and provide clear explanations for variances.
- Monitor revenue and expense activity across multiple business locations.
- Support payroll operations and ensure accurate allocation of labor costs.
- Compile financial information for tax filings and liaise with external accounting firms.
- Assist with cash flow projections and long-term financial planning.
- Ensure adherence to accounting principles, regulatory requirements, and internal controls.
- Recommend process improvements and identify cost-saving opportunities.