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About the Role
• Creating monthly financial reports, including cash-flow.
• Reconciling the company’s bank statements and bookkeeping ledgers
• Completing analysis of the employee expenditures
• Managing income and expenditure accounts
• Generating the company’s financial reports using income and expenditure data
• Keeping a check on the company’s finances based on financial status
• Verifying, allocating, posting and reconciling accounts payable and receivable
• Complying with external and internal regulatory and statutory policies, procedures and regulations.
• Performing timely and accurate report preparation related to payroll regulatory and contractual requirements
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