Prepare and present accurate financial reports, ensuring alignment with regulatory requirements and company standards. Conduct account reconciliations, promptly identifying and resolving any discrepancies. Uphold accounting policies, maintain internal controls, and support external audit processes. Examine financial data, uncover trends, and provide actionable insights to guide decision-making. Oversee and enhance the NetSuite accounting system, managing data entry, generating reports, and resolving system-related issues to ensure smooth financial operations.