A hybrid Finance role at GHJ.
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Original listing text, shown exactly as published by the company.
Maintain and reconcile accounts to ensure accurate financial information.
Prepare and analyze financial reports on a regular basis.
Review balance sheets, income statements, and general ledger accounts for accuracy.
Perform bank reconciliations and manage journal entries.
Support budgeting and financial planning processes.
Assist with tax filings and liaise with tax authorities as needed.
Provide detailed analysis and supporting information to management.
Maintain and reconcile accruals, prepayments, and intercompany accounts.
Support annual audits and other financial projects as assigned.
Ensure timely and accurate revenue recognition and financial reporting.
GHJ
Finance
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