Job Summary
Manage and execute accounts payable and receivable functions while supporting monthly, quarterly, and yearly financial closing activities. Perform bank reconciliations, GST submissions, and administrative duties to ensure accurate financial reporting and smooth office operations.
Responsibilities
- Process accounts payable and accounts receivable transactions accurately to maintain financial records
- Perform bank reconciliations to verify and resolve discrepancies in financial accounts
- Assist in monthly, quarterly, and yearly financial closing activities to support timely reporting
- Prepare and submit quarterly GST returns in compliance with regulatory requirements
- Support monthly management reporting by compiling and organizing financial data
- Respond promptly and professionally to customer emails, messages, and phone calls to maintain effective communication
- Execute filing and other accounting administrative tasks to ensure organized record-keeping
- Perform general office administrative duties to support daily business operations
- Collaborate effectively with team members and demonstrate initiative to improve processes