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Assist the Finance Manager in preparing financial statements and reports.
Manage accounts payable and receivable, including processing invoices, reconciling accounts, and resolving discrepancies.
Ensure compliance with local tax regulations and assist in the preparation of tax returns.
Assist in managing the company's cash flow, including monitoring and forecasting cash flow projections.
Assist in managing relationships with external stakeholders, such as auditors, tax consultants, and banks.
Evaluate financial statements to streamline your daily processes.
Facilitate a smooth yearly audit process through an independent evaluator by providing accurate transactions and balances of the company.
Assist in Prepare accurate reports on all the financial closing statements of the company.
Full Time