The role manages the company’s financial activities, including reporting, budgeting, reconciliations, tax processing, and ensuring compliance with accounting regulations.
The role manages the company’s financial activities, including reporting, budgeting, reconciliations, tax processing, and ensuring compliance with accounting regulations.
Manage daily accounting transactions.
Prepare financial forecasts and budgets.
Produce timely financial statements.
Handle monthly, quarterly, and yearly financial closings.
Reconcile accounts payable and receivable.
Ensure prompt bank payments.
Calculate taxes and prepare tax returns.
Maintain balance sheets and profit and loss statements.
Monitor financial health and liquidity.
Audit financial records and transactions.
Ensure confidentiality of financial data and complete regular backups.
Adhere to financial policies and regulatory standards.
BSc in Accounting or Banking and Finance.
3 to 5 years of accounting experience.
Strong understanding of accounting regulations and GAAP.
Proficient with software such as FreshBooks and QuickBooks.
Advanced Excel skills including pivot tables and VLOOKUP.
Experience with general ledger functions.
Strong accuracy and analytical ability.
None
Send your application via email with the provided subject line