Employer Active
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Handling accounting entries, bookkeeping and daily accounting reports.
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Ensure financial balance sheet accounts and bank reconciliations are accurate.
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Oversee month-end and year-closing process, provide timely and accurate financial reports to the management.
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Coordinate and manage external audit and ensure compliance with accounting principles and regulations
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Assist the development of annual budgets and forecasts. Monitor performance against budget and provide variance analysis.
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Provide financial advice and support to the senior management.
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Analysis of expenses and revenue to provide management reports to assist daily, weekly and monthly decision making.
Full Time