Developing internal control guidelines, policies, and procedures for budget accounting, cash and credit management, administration, and other activities.
Coordinating and directing budgeting, procurement, investment activities, and financial planning.
Ensuring compliance with state and federal regulatory requirements and professional standards.
Establishing and maintaining financial controls with the accounting department.
Preparing and presenting financial reports and risk analysis.
Creating budgets and forecasts.
Guiding financial decisions by establishing, monitoring, and enforcing policies and procedures.
Providing support to management, particularly in commercial and financial matters.
Creating reports that help senior leadership understand company financials.