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About the role:
Maintain, and complete accurate books of accounts in accordance with applicable accounting standards.
Record daily financial transactions including sales, expenses, payroll, and adjustments while maintaining the general ledger and supporting schedules.
Perform monthly bank reconciliations, analyze variances, and assist in cash flow monitoring and fund management.
Reconcile vendor, customer, and intercompany accounts to ensure accuracy and financial integrity.
Prepare and file quarterly and annual tax returns (income tax, sales tax, withholding tax) with accurate calculations and timely submission.
Ensure proper deduction, deposit, and reporting of withholding taxes and assist in handling tax notices, audits, and correspondence with tax authorities.
Assist in monthly, quarterly, and annual financial closings, including preparation of management reports, reconciliations, and financial analysis.
Maintain proper financial documentation for audit and compliance purposes while coordinating with internal departments and external stakeholders.
What We Are Looking For:
Up to 3 years of experience in accounting, finance, and taxation
Part-qualified CA / ACCA or MBA in Finance & Accounting
Strong understanding of bookkeeping, reconciliations, and financial reporting
Sound knowledge of local tax laws and statutory compliance requirements
Proficiency in MS Excel and accounting software
High attention to detail with strong analytical and problem-solving skills
Ability to manage deadlines effectively and work independently
How We Will Support You:
You'll no longer be considered for this role and your application will be removed from the employer's inbox.