Prepare and maintain financial reports of the company
• Process, verify, document and reconcile all receipts & payments
• Managing and overseeing the daily operations of the accounting department
• Collection of payments from company’s clients & deposit it timely to the concerned authorities
• Monitor cashflow & manage company’s petty cash on weekly basis including maintaining & presenting record
• Keeping up all the accounts data up to date, organized & symmetrical
• Monitoring, analyzing & presenting accounting data & financial reports or statementsto the top management & CEO when required
• Establishing and enforcing proper accounting methods, policies and principles
• Audit financial transactions and documents
• Maintain strong internal controls and implement financial best practices.
• Provide financial insights and recommendations to the CEO and senior management for strategic decision-making.
Key Requirements: