- Record daily financial transactions (general journal, cash/bank, purchasing, and sales).- Prepare and verify supporting documents for financial tran.....
- Record daily financial transactions (general journal, cash/bank, purchasing, and sales).
- Prepare and verify supporting documents for financial transactions (invoices, receipts, payment vouchers).
- Perform bank reconciliation and ensure consistency between system records and bank statements.
- Assist in preparing monthly and annual financial reports (balance sheet, profit & loss, cash flow).
- Support internal and external audit processes by providing required documentation.
- Assist in basic tax administration (VAT, Income Tax) and ensure timely submission of tax reports.
- Maintain the accuracy, confidentiality, and proper filing of financial documents