Found Description
Responsibilities
- Prepare monthly financial statements and management reports.
- Support external audits and responding to auditor inquiries.
- Coordinate and prepare periodic tax filings and support corporate income tax compliance with schedules.
- Maintain accurate books and execute end-to-end month-end, quarterly, and year-end closing processes including journal entries and key reconciliations.
- Execute daily treasury operations such as payments and bank transfers, and manage bank administration tasks.
- Manage trade finance operations by preparing and reviewing LC‑related documents, coordinating with banks and counterparties, and maintaining related documentation.
- Provide general administrative and operational support, including coordination and day‑to‑day assistance as needed.
- Hands‑on accounting and finance experience in closing, reporting, and reconciliations.