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Job Description

<p>Daily accounting entries and postings into the system. Strong background of receivable accounting is a must. Work with external auditors to complete the yearly company audit. Prepare Cash flow statement, Balance sheet, Profit and Loss statement along with reporting analytics to the management. Daily reporting – Daily cash management. Setting up controls in the company. Reconciliation of accounts with the bank statements/cash on hand. Participate in stock count procedures periodically. Assist management with Administrative tasks ( 2 hours daily) and Logistics bookings. VAT Filing and reporting.</p>