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Job Description
- Ensure accuracy and efficiency of operations, process and monitor bank statement, post transactions, adjustment (automated/manual).
- Perform monthly and annual bank reconciliation.
- Ensure all bank transactions are recorded daily through the workflow process.
- Verify, allocate, and post reconcile accounts payable, receivable and stock control.
- Assist with tax audit and tax returns.
- Reconcile general ledger accounts, prepare analysis and complete other monthly general ledger.
- Provide technical support and advice on management accountant.
- Any other tasks that the manager or supervisor deems necessary to perform.
Job Requirements
- Bachelor’s degree an accounting or related field.
- 3-5 years of relevant experience.
- Basic knowledge of tax regulations.
- Strong attention to detail and accuracy.
- Proficiency in MS office - Excel is a must
- Good communication and organizational skills.