Description:
Responsibilities: Maintain the general ledger by posting accurate and timely journal entries, including accruals and adjustments. Manage accounts payable and collection / receivable, ensuring timely payments, reconciliations, and resolution of discrepancies. Oversee fixed assets by updating the register, conducting audits, and ensuring compliance with standards. Perform monthly bank reconciliations Inventory management Update leave form, Send out Monthly SOA Requirements: Minimum Diploma in Accountancy or equivalent Minimum 2 3 years relevant …