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Manage daily financial transactions, ensuring accuracy and compliance with accounting standards and regulations.
Prepare and maintain financial reports, including balance sheets
Oversee accounts payable and receivable processes, ensuring timely invoicing and payment collection.
Conduct regular audits and reconciliations of financial statements to identify discrepancies and rectify issues promptly, managing an organization's financial records and operations, which includes bookkeeping, preparing financial statements, managing accounts payable and receivable, ensuring tax compliance, and supporting strategic financial planning and budgeting.