Description
*Requirements*
Bank Reconciliation:
Perform monthly bank reconciliations to ensure all transactions are accurately recorded and discrepancies are promptly resolved.
Review bank statements and cash book entries to identify and reconcile any differences.
Accounting Entries:
Record daily financial transactions, including purchases, sales, receipts, and payments.
Maintain accurate and up-to-date general ledger accounts.
Post and process journal entries to ensure all business transactions are recorded correctly.
Financial Reporting:
Assist in the preparation of monthly, quarterly, and annual financial reports.
Support the finance team in closing financial books at month-end and year-end.
Compliance & Audits
Ensure compliance with accounting standards and company policies.
Assist with internal and external audits as needed.
* 1-2 years of experience in relevant field*
* QuickBooks is essential*
* Night Shift*