Job Description

  • Prepare and maintain financial statements – including income statements, balance sheets, cash flow, and equity reports.
  • Record financial transactions – accurately input all company income and expenses into the accounting system.
  • Handle company taxation – calculate, prepare, and file tax reports in compliance with regulations.
  • Perform bank reconciliation and internal audits – match internal records with bank statements and conduct periodic financial reviews.
  • Provide audit support – compile and organize financial documents for external auditors.