- Handle daily bookkeeping and financial entries.
- Reconcile bank statements and petty cash.
- Process accounts payable and receivable transactions.
- Assist in preparing monthly financial reports.
- Monitor expense claims and reimbursements.
- Ensure compliance with tax regulations.
- Support budget preparation and monitoring.
- Maintain proper filing of accounting records.
- Coordinate with auditors during reviews.
- Provide financial data to management as required.