Job Description
Responsibilities
- Preparing and delivering timely and accurate monthly, quarterly, and annual financial statements with analyses and reports for management in accordance with ASPE
- Assisting in the completion of all bank and shareholder reporting and managing cash and ensuring appropriate levels of cash are in the correct accounts
- Ensuring the appropriate split between operating and trust cash, ensuring monthly completion of all trust reconciliations and providing weekly cash and trust reporting
- Assisting in the year‑end financial statement engagements and responding to requests from external accountants
- Working with auditors to create a clean opinion on Axis’ audited financial statements
- Provides financial analysis as needed for capital investments, pricing decisions, and contract negotiations
- Ensuring appropriate record keeping and documentation, implementing internal contr...