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Job Description
Duties and responsibilities
- Prepare monthly bank reconciliation.
- Prepare and review all accounting transactions and ensure all entries are recorded correctly based on required approval, POs, allocated cost centers, and GL accounts.
Ap accounting transactions / Ar accounting transactions / banking transactions /Taxs (Vat – Withholding - Electronic invoice) - Perform month-end closing entries and currency revaluation.
- Preparing the trial balance.
- Analyze financial data and provide insights to support decision-making.
- Prepare and file monthly, quarterly, and annual tax returns in compliance with applicable regulations.
- stay updated on changes in tax laws and regulations to ensure compliance.
- Assist in tax planning and forecasting activities.
Job Requirements
- A bachelor's degree in accounting or finance.
- 3-5 Years of Experience
- Communication proficiency
- Teamwork
- Proficiency in MS Office
- Time Management
- Familiarity with enterprise resource planning (ERP) systems: Odoo is a plus.
- Solid understanding of accounting principles.