Key Responsibilities:
• Transaction Management: Manage all accounting transactions and issue invoices, purchase orders, and debit notes.
• Banking & Reconciliations: Ensure timely bank payments and perform regular reconciliations for bank accounts, accounts payable/receivable, and intercompany accounts.
• Executive Support: Maintain personal accounts for Directors with the highest level of confidentiality.
• Tax & Compliance: Handle independent VAT filing and ensure strict compliance with local financial policies and regulations.
• Financial Reporting: Lead monthly, quarterly, and annual closings. Prepare accurate Balance Sheets and Profit/Loss statements.
• Audit Coordination: Manage the Annual Audit process, including the preparation of all required documentation.
• Data Integrity: Maintain financial data confidentiality and perform regular database backups in line with company policy.
Qualifications:
• Bachelors or Master’s degree in Accounting or Finance.
• Proven experience in VAT filing and intercompany reconciliations.
• Strong knowledge of accounting software and advanced Excel skills.
Intersted candidate please email your CV and salary expectations to [email protected]. Immediate availability is a distinct advantage.