Maintain records of financial transactions; establishing accounts, posting transactions, and ensuring compliance.
Balance subsidiary accounts by reconciling entries.
Maintaining and balancing a general ledger.
Prepare financial reports by collecting, analysing, and summarising account information and trends.
Comply with legal requirements by enforcing adherence to requirements; filing reports; advising management on needed actions.
Handle accounts receivable and payable, chases up overdue payments.
Contributes to team effort by accomplishing related results as needed.
Experience in Excel
Accuracy and attention to detail
Previous bookkeeping experience preferred