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Other Business Support Services
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Job Description

Responsibilities:

 Record and maintain financial transactions accurately in accounting software.

 Prepare, verify, and analyze financial statements including balance sheets, income statements, and cash flow statements.

 Manage accounts payable and receivable, ensuring timely processing and reconciliation.

 Assist in budget preparation, monitoring, and variance analysis.

 Conduct monthly reconciliations of bank accounts and manage payroll processing.

 Prepare and submit tax declarations, ensuring compliance with local tax regulations.

 Monitor and manage financial provisions for employee benefits.  Participate in internal and external audit processes.

 Ensure adherence to financial policies and compliance with regulatory requirements.

 Collaborate with different departments to provide financial insights and support decision-making.

 Continuously update and improve accounting processes and systems.



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