Maintain and reconcile general ledger entries, accounts payable, accounts receivable,payments, and campaign-related expenditures. Manage billing and invoicing for client retainers Prepare monthly financial statements, cash-flow summaries, and reconciliations to support operations. Collaborate with Chief Accountant to analyze financial data for cost-effectiveness, budget planning, and other financial Case. Assist in audit preparation, maintain financial records, and coordinate with auditors when required. Recommend and implement process improvements to streamline accounting workflow, and financial controls.