Roles and Responsibilities:
Preparing and maintaining financial records, statements, and reports.
Managing day-to-day financial operations, including accounts payable and receivable.
Ensuring compliance with tax laws, regulations, and financial reporting standards.
Creating and managing budgets, forecasts, and financial planning.
Performing reconciliations of bank accounts and financial discrepancies.
Conducting financial analysis to identify trends and opportunities for cost reduction.
Handling payroll and ensuring timely payment to employees.
Coordinating audits and preparing necessary documentation for auditors.
Managing cash flow to ensure the company has sufficient liquidity.
Monitoring financial performance and suggesting improvements to senior management.
Advising on financial decisions, including investments, cost control, and risk management.
Required Skills
Skills and Qualifications:
Bachelor's degree in business/ finance / Accounting.
Strong understanding of accounting principles.
Proficiency in financial reporting and analysis.
Knowledge of Tax laws, compliance, and auditing standards.
Attention to detail and high level of accuracy.
Analytical thinking and problem-solving.
Strong organizational and time-management skills.
Skills and Qualifications:
Bachelor's degree . Degree with Business/ Accounting preferable.
Good understanding of accounting etc.
Attention to detail and high level of accuracy.
Analytical thinking and problem-solving.
Strong organizational and time-management skills.
Be proactive and efficient to execute day to day jobs related to office managment
Be efficient to move with in city for goods movement to parties etc.