- Monthly bank reconciliation: Accounts Payable & Accounts Receivable
- Prepare monthly financial and management reports
- Timely data entry in accounting software and perform partial set of accounts and closing activities.
- Support the operational teams in maintaining strong vendor relationships.
- Support audit and tax queries
- Maintain accurate master data, process invoices and payments.
- Support monthly and yearly accounts closing within the stipulated deadline.
- Preparing quarterly reporting for GST
- Any other duties.