Preparing and maintaining accurate financial records, including general ledger entries, accounts payable, and accounts receivable.
Analyzing financial statements to ensure accuracy and compliance with applicable accounting standards and regulations.
Preparing of monthly, quarterly, and annual financial reports and schedules.
Conducting internal audits to evaluate financial controls, identify discrepancies, and recommend corrective actions.
Reconciling bank statements and resolving variances in a timely manner.
Ensuring compliance with tax regulations and preparation and review and filing of tax returns.
Review payroll computation, ensuring accurate computation of salaries, deductions, and statutory contributions in compliance with applicable laws and company policies.
Monitoring organizational budgets and expenditures, providing financial analysis and variance reports.
Supporting external audits by preparing required documentation and responding to auditor inquiries.
Implementing and maintaining accounting systems and procedures to improve efficiency and accuracy.
Providing financial advice and recommendations to management to support business decision-making.
Quarterly preparation of Dividend computation, commission and incentives.