Required job duties are:
- Provide bookkeeping services, including recording financial transactions and maintaining general ledgers
- Vendor bills recorded as per e-qaime list on a daily basis
- Bank transactions are recorded on a daily basis
- Assist Senior in preparation of periodic financial statements
- Perform periodic intercompany balance reconciliation
- Assist in preparation and maintenance of financial budget
- Ensure the financial figures are backed up with a proper documentation and approval
- Assist in preparation of ad-hoc reports based on requests from senior team members
- Participate in inventory counts