Job Description

-Prepare and analyze financial reports, including income statements, balance sheets, and cash flow statements.
-Develop and manage the department's budget, including forecasting revenue and expenses, monitoring actual results, and adjusting as necessary.

-Manage the billing and invoicing process, ensuring that all client bills are accurate, timely, and consistent with contract terms.

-Manage accounts receivable and payable, including monitoring cash flow, reconciling bank statements, and processing payments.

-Ensure that the Agency complies with all relevant tax laws and regulations, including preparing and filing tax returns and responding to tax inquiries.

-Conduct financial analysis and modeling to support strategic decision-making and business planning.

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