Job Details
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Job Description
- Responsible for daily finance operations including managing accounts payable, accounts receivable, payroll, banking matters, collection & preparing daily journal etc.
- Prepare and publish timely monthly financial statements.
- Support month-end and year-end close process
- Manage and comply with government reporting requirements and tax filings
- Manage cash flow & office petty cash.
- Assist in managing credit and collection activities.
- Prepare daily cash flow reports and register all outstanding payment records.
- Perform month end closing activities such as revenue accounting, expense accounting, account reconciliation, etc.
- Preparation of annual statutory accounts, the filing of tax returns and all other financial compliance obligations.
- Follow up and match Customer accounts and Preparation of semimonthly customer statements
Job Requirements
- Use of accounting software
- The work of financial centers
- English Language Proficiency