Assist in the preparation and maintenance of financial records, including ledgers, journals, and reconciliations.
Process accounts payable and accounts receivable transactions accurately and timely.
Prepare and post journal entries as needed.
Support month-end and year-end closing procedures.
Assist in preparing financial statements and management reports.
Reconcile bank statements and other financial accounts.
Maintain proper documentation for all accounting transactions.
Support internal and external audits by providing required documentation and reports.
Help ensure compliance with company policies, accounting standards, and relevant regulations.
Perform other related duties as assigned by the Senior Accountant or Finance Manager