- Candidate should be capable of handling routine accounting work including preparation of invoices,
- Maintaining accounting records and preparing books of accounts
- Candidate should have work experience in foreign currency accounting
- Capable of processing payments, monitor fee collections and handle banking operations.
- Preparation of bank reconciliation statement, monthly MIS reports- including profit and loss, balance sheets/cash flow reporting.
- Support in local compliances- including GST/withholding tax
- Liaise with auditors for preparation of annual financials and annual audit
- Support CFO for any other matter
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