- Reconciliation of bank accounts
- Managing the daily activities of the accounting and ensuring that all reports, month-end activities, and year-end reports are completed on time.
- Assist in day-to-day accounting tasks, including data entry, processing invoices, and reconciliations.
- Assist in preparing financial reports, such as balance sheets, profit and loss statements, and cash flow statements.
- Assist in month-end and year-end close procedures.
- Develop and improve internal accounting procedures.
- Record and analyze financial transactions to ensure accuracy.
Preferred candidate profile
- Adequate understanding of financial statement and analytical skills
- Open to work to tight deadlines and multi-tasking
- Positive communication skills, Email writing skills, MS office understanding, Technical tools like Tally, XERO, QuickBooks basic understanding