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Job Summary
Manage comprehensive accounting functions including accounts receivable/payable, claims processing, payment vouchers, reconciliations, and month-end closing. Support audit and GST filing processes while ensuring accurate data entry and timely reporting.
Responsibilities
Preferred competencies and qualifications
Job ID: 150838817
Skills:
Bank Reconciliations, GST submissions, Inventory reconciliation, Journal postings, Taskhub, Accounting transactions
Skills:
Microsoft Excel, Forecasting, Tax Compliance, Quickbooks, Statutory Audits, Management reports, Financial analyses, Bank Reconciliations, GST submissions, Budgeting, Full-set accounting, Accounting Software
Skills:
Accounts Payable, Quickbooks, Full set accounts
Skills:
tax filings , AP, AR, accruals, Gst, Forecasting, General Ledger, budgeting, Variance Analysis, year-end closing, Compliance, BAS, Bank Reconciliations, Payroll, prepayments, Financial Reports
Skills:
Ms Excel, Bank Reconciliations, Accounts Payable, Invoice preparation, Accounting programs, General ledger functions, Accounts receivable, Data Entry
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