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About the Role
In this role, you will contribute to preparing and processing financial reports and documents, ensuring all data are accurate and usable by management.
Responsibilities
- Prepare financial reports and financial statements
- Process and analyze budget
- Process bills payments, refunds
- Handle and manage bank reconciliations
- Coordinate and liaise with internal and external teams regarding bank compliance
- Coordinate and liaise with the tax team in ensuring tax reports are properly supported by reconciliation schedules and explanatory notes
- Coordinate and liaise with the admin team for ensuring compliance with reportorial requirements by the government authorities.
- Perform daily finance and accounting activities
- Complete month-end closing activities with accuracy and timeliness
- Support junior team members by reviewing their output, training, and mentoring
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