Manages full-set accounts, month-end closing, statutory compliance, and reporting; supports audits and intercompany transactions.
Key Responsibilities
- Maintain full set of accounts and accurate general ledger records
- Process AP/AR, including invoicing, receipts, payments, and reconciliations
- Perform bank reconciliations, cash monitoring, and FX recording
- Maintain fixed asset register and depreciation schedules
- Prepare month-end journals, reconciliations, and management accounts
- Support year-end closing and external audits
- Assist in corporate tax, GST filings, and statutory submissions
- Prepare intercompany billings, reconciliations, and group schedules
- Provide financial analysis and periodic management reports
- Perform ad‑hoc finance support as required
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