Key Responsibilities:
• Process daily financial transactions including invoicing, payments, and expense tracking.
• Monitor cash flow and assist in budget preparation.
• Compile and submit tax reimbursement requests monthly, ensuring supporting documents are accurate.
• Process annual tax filings, verify information, and maintain compliance records.
• Reconcile managed bank accounts monthly, identifying discrepancies.
Preferred Skills:
• Proficiency in TALLY.
• Proficiency in MS Excel & MS Word.
• Strong data organization, accuracy, and analytical skills.