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.Maintain full sets of accounts for multiple entities (AR,AP and GL)
.Prepare bank reconciliations and account schedules
.Prepare quarterly forecasts
.Monitor cash flow and assist in monthly cash flow forecast
.Prepare GST returns and assist with corporate income taxreturns
.Prepare statutory financial statements
.Assist and support on internal and external queries
.Ad hoc and admin assignments
Professional Requirements
Job ID: 147921887
Skills:
Gl, Reconciliation, Auditing, Journal Entries, Fixed Asset Management, Accounting, Budgeting, Cash Receipts, Able To Work Independently, Payment Processing
Skills:
Ms Excel, Basic accounting knowledge, POS system
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