We are seeking a detail-oriented and experienced Accountant to manage fee collections, audit bank transactions, and maintain accurate financial records using advanced Excel skills. The ideal candidate will ensure financial accuracy, timely reporting, and compliance with organizational policies.
Key Responsibilities:
Manage and reconcile daily fee collections and payments.
Conduct regular audits of bank transactions and cash flow.
Maintain accurate financial records and prepare reports as required.
Perform advanced Excel tasks including data analysis, pivot tables, and financial modeling.
Ensure compliance with accounting standards and internal financial policies.
Assist in budget preparation, forecasting, and financial planning.
Identify discrepancies and implement corrective actions promptly.