Recording daily financial transactions, maintaining ledgers, and ensuring accurate financial data. Preparing financial statements like income statements, balance sheets, and cashflow statements to provide insights into financial health. Assisting with the preparation and filing of tax returns, ensuring compliance with tax regulations and optimizing tax liabilities. Conducting internal audits to assess financial accuracy and adherence to laws and standards. Managing employee compensation, tax withholdings, and benefits administration. Offering advice on financial strategies, budgeting, and long-term financial planning. Investigating financial discrepancies or fraud through detailed analysis of financial records.