Examine account and systemrelated reports of the organization to make accurate assessments Assist with monthly closings procedures Assist with tax computations returns Facilitate a smooth yearly audit process through an independent evaluator by providing accurate transactions and balances of the company Handle monthly quarterly and annual closings Analyze reconciling bank statements and monitor company finances to issue accurate and insightful reports within defined deadlines Coordinate with the management and uphold the standard laws and regulations for monitoring updating and maintaining fiscal activities