Maintenance of day-to-day accounting records and transactions.
Handling monthly closing and accounting tasks, including but not limited to preparation of monthly financials, bank reconciliations, tracking and updating of monthly and quarterly valuations, GL Entries etc.
Preparation of documentation and checking of all invoices for VAT submission on a quarterly basis.
Tracking of budget and reporting variances to the management and department heads and assisting with their various queries.
Maintenance of Budget transfers between various categories.
Arrangement of supporting documentation for internal audit and state audit requests.
Preparation of year end audit file and arrangement of supporting documentation for all external audit requests.
Handling of year end closing and preparation of accruals and other GL entries.
Providing inputs for various improvements regarding AX and testing of modules whenever new changes are introduced in the ERP system.
Preparation of base reports for performance reporting.
Maintenance of Lease Module
Maintenance of Fixed Assets Module
Reconciling all Investment bank Accounts (BNY)
Covering Senior Financial Accounting functions on emergencies and leaves.
Provide support for any Ad Hoc tasks as required by the Financial Controller