About the role
Manage daily accounting transactions and journal entries.Prepare monthly ,quarterly, and annual financial reports.Handle bank reconciliations and monitor cash flow.Supervise accounts payable and receivable processes.Prepare and review tax filings (VAT , withholding tax, payroll tax, etc.)Support budgeting, forecasting, and financial analysis .Coordinate with external auditors and maintain audit documentation.Maintain fixed asset records and reconciliations.Ensure proper documentation and internal financial controls.
1-5 years of experienceVery good EXCEL skills Bachelor's degree in Accounting or related field