Assist in managing day-to-day finance and accounting activities
Manage Accounts Receivable, Accounts Payable, Billings and Credit/Debit Note
Perform bank reconciliation and ensure all banking matters are handled accurately and promptly in compliance with all related regulations, policies and guidelines
Prepare cheque/TT/online payments and maintain petty cash, cheque and financial documents
Ensure payments of invoices and other finance expenses are processed accordingly
Raise journal and ensure timely closing of monthly activities
Prepare Sales and Services Tax (SST) returns, be the liaison person for SST issues
Ensure proper filing and maintenance of Finance documents
Assist in other general administrative work ...
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