Responsibilities:
· Maintain full sets of accounts, includingaccounts payable (AP), accounts receivable (AR), and general ledger
· Prepare monthly, quarterly, and annual financialreports
· Handle bank reconciliations and ensure accuracyof financial data
· Assist in budgeting, forecasting, and financialplanning
· Process invoices, payments, and expense claims
· Ensure compliance with financial regulations, tax requirements, and internal policies
· Support audits by preparing necessary documentation
· Monitor cash flow and manage financial transactions
· Liaise with external parties such as auditors,tax agents, and banks
· Identify opportunities for cost savings and financial efficiency