We are seeking an experienced accounting professional to oversee comprehensive financial operations within our organization. The ideal candidate will have a strong background in accounting, finance, and taxation, with a proven track record of managing bookkeeping, payroll, and financial reporting. This role requires meticulous attention to detail, a thorough understanding of regulatory compliance, and the ability to provide accurate financial information to support management decisions.
Key Responsibilities
- Manage daily accounting and bookkeeping activities to ensure accurate and timely recording of all financial transactions.
- Oversee general ledger maintenance, accounts payable and receivable, invoicing, payments, bank reconciliations, and account reconciliations.
- Prepare monthly, quarterly, and annual financial statements, management reports, and supporting schedules.
- Handle tax return preparation, filing, and documentation, ensuring compliance with relevant tax laws and regulations.
- Process and supervise monthly payroll, including employee deductions, benefits, and related accounting entries.
- Lead month-end and year-end closing processes, ensuring completeness and accuracy of financial records.
- Maintain robust accounting controls, proper documentation, and audit-ready records to support both internal and external audits.
- Monitor cash flows, receivables, payables, and other financial transactions, providing timely and accurate financial information to management for strategic decision-making.
Required Qualifications
- Bachelor’s or Master’s degree in Accounting, Finance, Commerce, or a related field.
- Minimum of 8 years of practical experience in accounting, bookkeeping, financial reporting, taxation, and payroll management.
- Strong expertise in general ledger accounting, accounts payable and receivable, bank reconciliations, and month/year-end closing procedures.
- Demonstrated experience in preparing and filing tax returns while ensuring compliance with applicable tax regulations.
- Proven ability to manage payroll processes, employee deductions, benefits administration, and statutory requirements.
- Skilled in preparing financial statements, management reports, cash flow statements, and supporting schedules.
- Proficient in accounting software, Microsoft Excel, and financial reporting tools.
- Excellent analytical and reconciliation skills, with a high level of accuracy, attention to detail, and commitment to confidentiality and compliance.
This position offers the opportunity to contribute significantly to the financial integrity and operational efficiency of the company. Candidates with a strong sense of accountability and a proactive approach to financial management will thrive in this role.