1) Completes period-end functions each period.
2) Assists the Director of Finance in preparing annual budgets for effective management of the organization.
3) Generates and provides accurate and timely results in the form of reports, presentations, etc.
4) Assists the Director of Finance in the preparation of monthly financial reports and schedules required.
5) Ensures that all balance sheet items are accounted for and reconciled with their respective subsidiary ledgers and/or schedules, and that all contra or clearance accounts are cleared at the end of every month.
6) Checks and approves all journal vouchers prepared by cost control, general cashier, payroll, accounts payable, accounts receivable, and income auditor.
7) Plans and prepares schedules for expense accounts that may be required from time to time.
Responsible for performing any additional duties assigned by management and assisting in other areas of accounting as needed.