Prepare journal entries, reconcile general ledger and subsidiary accounts, and prepare monthly financial statements, including distributing monthly revenue and expenditure reports to departments.
Analyze and reconcile expenditure and revenue accounts.
Responsible for preparing payments and official receipts.
Prepare the payroll and responsible for bank reconciliation
Calculate and prepare reimbursement expenses and track receivables; reconcile monthly accounts receivable.
Ensure compliance with accounting and tax laws (Prepare all tax declarations)
Prepare audit schedules for external auditors.
Prepare and file annual financial statements for the company
Assist with the preparation of the annual budget
Implement innovative accounting practices and processes to improve efficiency