Description
The Role
● Maintain the company’s books according to generally accepted accounting principles
● Verify/reconcile all posted transactions on a monthly basis to maintain the integrity of the company’s financial records
● Assist in month-end closing and report generation for building performance
● Collaborate with cross-functional teams, including Operations, Sales, and other departments in order to gather necessary information for accurate accounting entries.
● Review and report to stakeholders monthly financial reports, including income statements, balance sheets, and cash flow statements.
● Assist in preparing annual budgets and forecasts, providing valuable insights based on reconciliations and financial data analysis.
● Support audits from external auditors and local Tax and Statutory authorities as needed, ensuring compliance with tax and accounting standards by providing necessary documentation and support.
● To assist the CFO in various projects/initiatives which may be assigned from time to time
● Handle ad-hoc jobs as and when required