Financial Reporting & Compliance: Prepare and analyze monthly, quarterly, and annual financial statements. Support audits and ensure regulatory compliance., Budgeting, Forecasting & Strategic Planning: Develop and monitor budgets, forecasts, and financial models to support strategic decision-making., Process & Systems Optimization: Implement and enhance financial controls, procedures, and systems to improve efficiency and accuracy., Cash Flow & Liquidity Management: Oversee cash planning and liquidity. Coordinate payment runs and account reconciliations., Audit & Tax Coordination: Liaise with external auditors and tax advisors to ensure timely and accurate reporting and compliance., Cross-Functional & Stakeholder Collaboration: Work closely with our CFO and with various departments to provide financial insights and support business initiatives. Work with internal teams, banks, tax advisors, and auditors. Support funding and grant reporting as needed.