1. Review accounting transactions, manage full set of accounts (AP/AR, General Ledger, Journals Schedules, Fixed Assets, Bank Reconciliation, etc.) and prepare monthly management reports (balance sheet, income statement, cash flow statement, account schedules, etc.)
2. Monitor funding and cash flow requirements to ensure operational efficiency and achievement of key outcomes.
3. Support and ensure compliance with all finance filing requirements, tax filing requirement (including income tax, GST, and other relevant taxes), audits, procedures and forms both statutory and internal.
4. Perform other accounting duties and support accounts staff as required or assigned.
Requirements:
1. Bachelor's degree in Accounting, Finance, or a related field, or an equivalent combination of education, training and experience
2. At least 4-6 years of accounting/finance experience
3. Demonstrate intermediate to advanced skills and knowledge of Excel, as well as other Microsoft Office applications
4. Strong analytical and problem-solving skills
5. Experience with accounting software
6. Excellent interpersonal skills to communicate effectively across the organization
7. Thorough knowledge of general ledger accounting and account reconciliation
8. Highly detail-oriented