Daily Operations: Overseeing accounting entries, preparing documentation (receipts, payment vouchers, tax invoices), managing accounts receivable and payable, and petty cash.
Closing Accounts: Responsible for monthly, quarterly, and annual closing of accounts and preparing financial statements.
Reporting and Analysis: Preparing financial reports, tax reports, and variance analysis for management.
Control and Auditing: Controlling transactions, managing account reconciliations, and coordinating internal and external audits.
Team Management: Providing mentorship and guidance to entry-level staff to ensure efficient work performance.
Process Improvement: Suggesting and driving improvements to accounting and tax processes.