- – Process accounts payable and manage financial records with high accuracy.
- – Coordinate meetings, maintain calendars, and support administrative functions.
- – Administer housing subsidies and assist with database management and reporting.
- – Process Verafin alerts and manage cases to ensure AML compliance.
- – Prepare and submit AML regulatory reports to meet legal requirements.
- – Advise clients on AML and non-AML compliance, including CASL and FATCA.
- – Partner with teams to translate business questions into financial insights.
- – Build and maintain financial models for revenue, retention, and performance analysis.
- – Lead monthly forecasting processes and prepare investor-ready financial reports.