JOB DESCRIPTION:
- In charge of a full sets of account for 2 companies
- Review of general ledger and posting of month end journal entries
- Ensure accuracy of accounts records
- Timely month end closing for accounts
- Bank reconciliations
- Preparation of Balance sheet accounts, variance analysis and
- Preparation of GST submission
- Assist to prepare and maintain Finance SOP
- Assist in annual audits
- Render administration and operational support