Finance | Job Description:
- Analyze financial reports based on the established budget to ensure compliance and efficient use of funds.
- Prepare accurate and timely daily, weekly, and monthly financial reports (Balance Sheet, Profit & Loss, and Cash Flow).
- Manage company cash flow (cash in & cash out) and ensure all transactions are properly recorded in accordance with procedures.
- Develop and maintain profit and loss statements, ensuring data accuracy.
- Prepare and submit tax reports in compliance with applicable tax regulations.
- Perform regular financial reconciliations to minimize discrepancies in records.
Accounting | Job Description:
- Prepare, record, and manage company financial data accurately and on time.
- Process financial data into useful information for management decision-making.
- Perform month-end and year-end closing processes.
- Prepare financial statements in accordance with accounting standards and company policies.
- Participate in tax audits as well as internal and external audits on a regular basis.
- Ensure all financial and accounting activities comply with applicable laws and accounting standards.
Tax | Job Description:
- Prepare, calculate, and file the company's tax obligations accurately and on time.
- Handle e-filing and ensure tax payments are made within the required deadlines.
- Maintain accurate, complete, and organized tax records and documentation.
- Perform monthly and yearly tax reconciliations with accounting records.
- Provide support during tax audits, inquiries, and data requests from tax authorities.
- Conduct regular tax calculations and perform basic analysis to optimize the company's tax efficiency.