Job Description
Job Description
- Manage company accounts to ensure timely payments and oversee financial software systems.
- Reconcile accounts monthly to maintain accurate reporting and ledger updates.
- Calculate taxes and file tax returns in compliance with legal requirements.
- Identify opportunities to reduce costs and enhance revenue, providing recommendations for financial policies and procedures based on the organization’s financial position.
- Audit financial documents to ensure accuracy and compliance.
- Prepare necessary documentation for external auditors.
- Coordinate semi-annual audits and support the CFO in audit processes.
- Analyze financial statements for discrepancies and promptly notify the CFO if issues arise.
- Assign financial responsibilities to the accounting team.
- Safeguard the confidentiality of financial data and ensure database backups as needed.
Requirement
- Bachelor’s degree in Accounting, Finance, or a related field (mandatory).
- Proven experience in accounting, auditing, or financial management (5-8 years preferred).
- Hands-on experience with financial software systems and tools.
- Proficiency in accounting software
- Strong knowledge of tax laws, regulatory compliance, and reporting standards.
- Expertise in financial analysis, reconciliation, and auditing practices.
- Advanced proficiency in Microsoft Excel and other financial tools.
- Strong analytical and problem-solving abilities.