Assist in the preparation of monthly financial statements, reports, and analysis. Handle day-to-day accounting functions such as accounts payable, accounts receivable, and general ledger entries. Prepare and process invoices, payments, and journal entries accurately and on time. Assist in bank reconciliations and ensure proper documentation of transactions. Support month-end and year-end closing activities. Maintain proper filing and documentation for all financial transactions. Liaise with internal departments and external parties (suppliers, auditors, tax agents, etc.) as required. Assist in audit preparation and provide necessary supporting documents. Perform any other ad hoc accounting or administrative duties as assigned by the Finance Manager. Ability to speak
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