Posted:2 months ago|
Platform:
Work from Office
Full Time
Process and track invoices and payments. Manage accounts payable and receivable, ensuring timely and accurate processing. Ensure compliance with company policies and procedures related to financial transactions. Perform daily/weekly/monthly bank reconciliations. Resolve discrepancies between bank records and company financial statements. Assist in maintaining the general ledger. Record journal entries for expenses, revenues, and other financial transactions. Prepare monthly and quarterly financial reports such as profit & loss statements, balance sheets, and other relevant reports. Assist in year-end closing activities and audit preparation. Assist in preparing tax returns and ensure compliance with tax regulations. Maintain records of taxes and support the accounting team with any tax-related queries. Ensure internal control procedures are followed to minimize financial discrepancies. Support audits and liaise with auditors as required. *Inter Ca or article may also apply
Rspr Global Services
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