Role & responsibilities Data Entry & Record Keeping: Accurately record all financial transactions and maintain organized financial records. Accounts Payable & Receivable: Process invoices, manage vendor payments, handle client billing, and reconcile the respective accounts. Bank Reconciliations: Reconcile bank statements and other financial accounts, resolving any discrepancies found. Journal Entries: Prepare and post journal entries for various financial activities. Regulatory Compliance: Ensure financial activities comply with relevant financial regulations, tax laws, and company policies. Preferred candidate profile Financial Statement Preparation: Assist in preparing monthly, quarterly, and annual financial statements, such as balance sheets and income statements.