Tasks and Responsibilities:
• Monitor and manage daily cash balances and forecasts.
• Process payments and manage banking transactions.
• Reconcile bank accounts and resolve discrepancies.
• Assist in the preparation of cash flow reports.
• Maintain relationships with banks.
• Ensure compliance with internal controls and financial regulations.
• Support month-end and year-end closing activities.
• Maintain and reconcile general ledger accounts.
• Support audits and resolve discrepancies.
• Prepare and maintain accurate financial records and reports.
• Manage accounts payable and receivable processes, ensuring timely payments and
Requirements:
• Bachelor’s degree in Accounting, Finance, or a related field.
• 2–3 years of experience in accounting or treasury roles.
• Strong analytical and problem-solving skills.
• Proficient in Excel and financial software.
To enable our clients to succeed and accelerate their business growth