Job Description
Prepare, review, and analyze financial statements and reports (P&L, Balance Sheet, Cash Flow)
Perform monthly, quarterly, and yearly closing activities
Assist in the preparation of budgets and forecasts
Conduct financial analysis to identify trends, variances, and areas for improvement
Maintain accurate financial records and documentation
Reconcile accounts and resolve discrepancies
Ensure compliance with internal controls, accounting policies, and regulatory requirements
Assist with audits and liaise with external auditors
Prepare tax returns and support VAT/GST/Withholding Tax filings (as applicable)
Support treasury operations including cash flow monitoring and bank reconciliations
Collaborate with departments to provide financial insights for decision-makingPrepare, review, and analyze financial statements and reports (P&L, Balance Sheet, Cash Flow)
Perform monthly, quarterly, and yearly closing activities
Assist in the preparation of budgets and forecasts
Conduct financial analysis to identify trends, variances, and areas for improvement
Maintain accurate financial records and documentation
Reconcile accounts and resolve discrepancies
Ensure compliance with internal controls, accounting policies, and regulatory requirements
Assist with audits and liaise with external auditors
Prepare tax returns and support VAT/GST/Withholding Tax filings (as applicable)
Support treasury operations including cash flow monitoring and bank reconciliations
Collaborate with departments to provide financial insights for decision-making