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Job Description

Manage general ledger accounts, journal entries, and month-end closing processesPrepare financial statements, balance sheets, and profit and loss reports with accuracy and timelinessOversee accounts payable and receivable to ensure timely payments and collectionsConduct budgeting and forecasting to assist management in financial planningSupport the audit process by providing necessary documentation and reports to auditorsEnsure compliance with accounting standards and regulatory requirements in all financial transactionsCollaborate with other departments to streamline financial processes and improve efficiency
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