- Responsible for all monthly postings and month-end tasks to ensure the completeness and accuracy of general ledger, complies with IFRS.
- Preparing monthly Balance Sheet reconciliations.
- Work with the Finance team to resolve outstanding issues on monthly balance sheet reconciliations.
- Develop and manage an end-to-end accounting and bookkeeping system for financial reports to tax reports
- Manage taxation related matters
- Coordinate and complete annual audits
- Managing the daily operations of the growing accounting department (payable, receivable, cash monitoring, monthly closing)
- Establish and enforce proper accounting methods, policies and principles
- Improve systems and procedures and initiate corrective actions