Handle daily accounting functions, managing partial or full sets of accounts to ensure timely and accurate month-end closings.
Oversee financial operations, including accounts receivable, accounts payable, andother related transactions.
Perform intercompany billing, ensuring accurate invoicing, reconciliations, and timely settlements.
Maintain accurate financial records, including accruals, and prepayments.
Perform bank reconciliations and prepare quarterly GST reports.
Assist with audits and tax filings, compiling necessary schedules and reports.
Ensure compliance with internal financial policies, industry standards, and regulatory requirements.
Any other assignment as assigned by Management.