The individual will be responsible to help and support the finance team in day-to-day financial transactions, record-keeping, and basic reporting.
Key Responsibilities
Record accounts payable and Bank Payment for settlement of payables
Perform data entry and ensure accuracy of financial information.
Keep accurate records for all daily transactions.
Ensure financial records are kept up-to-date with the latest transactions and changes.
Organize and maintain financial documents and filing systems.
Assist during audits by gathering required documentation
Maintain records and receipts for all daily transactions.