1. Assist in preparing accurate financial reports by collecting, organizing, and analyzing financial data.
2. Help in creating balance sheets, profit and loss statements, and cash flow statements.
3. Accurately record and process accounts payable and receivable transactions.
4. Conduct bank reconciliations with supporting documents and receipts.
5. Aid in the preparation and filing of tax returns, adhering to relevant tax laws and regulations.
6. Identify and resolve discrepancies in account reconciliations.
7. Assist in the process of paying and claiming GST.
8. Drafting invoices.
9. Filing of financial records and files.
10. Provide general administrative support to the accounting department.