- Manage accounts payable and receivable processes.
- Reconcile bank statements and resolve any discrepancies
- Maintain the general ledger and ensure all financial transactions are accurately recorded.
- Perform month-end and year-end closing activities.
- Support internal and external audits by providing necessary documentation and
information.
- Work closely with other departments to ensure accurate and timely financial information.
- Communicate effectively with team members and management
- Apprehend the closing Journals (like Accruals, Prepayment, Provisions, Payroll) and ensuring the appropriateness of the backups provided
- Coordinate with clients to obtain necessary information for document preparation.
- Maintain accurate records using Tally ERP software.
- Efficiency in Excel spreadsheets or google sheets.