Key Roles and Responsibilities:
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Manage day to day accounting operations including accounts payable, accounts receivable, and general ledger.
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Reconcile bank statements and monitor cash flow.
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General Ledger Management, posting accruals and deferrals, and performing bank and credit card reconciliations.
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Maintain and update financial records, ensuring data accuracy and integrity.
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Collaborate with finance team to develop and implement accounting policies.
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Provide financial analysis and advice to clients based on their financial data.
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Liaise with auditors during annual audits and assist in the preparation of audit schedules.
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Monthly bank account and all general ledger reconciliations.
Knowledge and Skills required:
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Knowledge of MS applications like Excel / Word.
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Need to be a good team player.
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Good knowledge in accounting software like Tally ERP, QuickBooks, Zoho.
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Excellent communication skills and Excel skills