Accountant
Key Responsibilities:
Financial Transaction Management:
Document financial transactionsPrepare asset, liability, and capital account entriesReconcile financial discrepancies by collecting and analyzing account informationUpdate financial transactions in accounting systems timely and accurately.Assist in monthly/yearly finalization of accounts.
Taxations:
Prepare monthly withholding tax statements / sales tax returnsAssist in preparation of Annual Income Tax ReturnMonitor and implement revised taxation rates, rules and regulationsStreamline tax procedures and recommends efficient process improvements.
Accounts Payables Management for Client(s) & office:
Prepare reporting payable summaries and agingRecord payments/disbursementsReconcile payables and payments
Cash and Expenses:
Prepare expense vouchers and expense summariesMaintain accurate cash register on a real time basisConduct regular cash counts and cash reconciliationManage petty cash disbursements and controls
Job-Specific Skills:
Excellent organizational and time-management skillsAttention to detailInvolvement in business registration and tax compliance.Required knowledge of Microsoft Office Suite, Tally, and QuickBooks.Data entry management
Apply Now
Financial Transaction Management:
Document financial transactionsPrepare asset, liability, and capital account entriesReconcile financial discrepancies by collecting and analyzing account informationUpdate financial transactions in accounting systems timely and accurately.Assist in monthly/yearly finalization of accounts.
Taxations:
Prepare monthly withholding tax statements / sales tax returnsAssist in preparation of Annual Income Tax ReturnMonitor and implement revised taxation rates, rules and regulationsStreamline tax procedures and recommends efficient process improvements.
Accounts Payables Management for Client(s) & office:
Prepare reporting payable summaries and agingRecord payments/disbursementsReconcile payables and payments
Cash and Expenses:
Prepare expense vouchers and expense summariesMaintain accurate cash register on a real time basisConduct regular cash counts and cash reconciliationManage petty cash disbursements and controls
Job-Specific Skills:
Excellent organizational and time-management skillsAttention to detailInvolvement in business registration and tax compliance.Required knowledge of Microsoft Office Suite, Tally, and QuickBooks.Data entry management
Apply Now