Job duties: Preparing and directing the preparation of financial statements and reports which summarize and forecast probable future business activity of the dental office. Presenting accounting information in areas of income, expenses, and earnings, based on past, present, and expected operations to ascertain accounting needs and to recommend, develop, or maintain solutions to business and financial problems. Analyzing monthly accounting reports to maintain expenditure controls. Reviewing records of sales and actual operating expenses such as payroll and material costs. Maintaining and developing operational and financial reports by using report writing tools. Using auditing methods to reconcile records with internal company employees and management. Applying the principle of accounting and statistics to provide management with detailed and accurate cost information about the company’s financial position. Performing cost-benefit analyses to compare operating programs, review financial requests, or explore alternative financing methods. Analyzing revenue and expenditure trends of the dental industry and recommending appropriate budget levels and ensuring expenditure control to the management. Advising and consulting management about issues such as resources utilization, tax strategies, and the assumptions of the underlying forecast. Performing surveyed operations to ascertain accounting needs and to recommend, develop, or maintain solutions to business and financial problems. Weekly reporting of invoicing totals/ aging totals/ cash receipts/ invoice adjustments.