Manage day\-to day Finance and accounting operations, ensuring accurate and timely recording of all financial transactions.<\/div>
Oversee accounts payable, accounts receivable, general ledger, bank transactions, petty cash and other routine financial\x26nbsp; \x26nbsp; \x26nbsp; activities.<\/div>
Review and ensure accuracy of accounting entries, vouchers invoices, receipts, payments and supporting documentation.<\/div>
Prepare and review monthly financial reports, management reports, schedules and Financial analysis for management review.\x26nbsp;<\/div>
Assist in preparation of budgets, cash flow forecasts and financial projections and monitor actual performance against approved budgets.<\/div>
Conduct and review review monthly bank reconciliations, ledger scrutiny and account reconciliations, ensuring timely resolution of discrepancies.\x26nbsp;<\/div>
Assist in ensuring compliance with applicable accounting standards, tax regulations, company policies and statutory requirements.\x26nbsp;<\/div>
Support tax\-related activities, including preparation and coordination of required information and documentation for tax\x26nbsp; fillings and assessments.\x26nbsp;<\/div>
Perform any other finance and accounting responsibilities assigned by managements.\x26nbsp;<\/div>