- Record daily accounting transactions including sales, purchases, receipts, and payments.
- Support preparation of monthly financial reports and schedules.
- Assist in supplier, customer, and bank reconciliations.
- Maintain accurate documentation and filing of accounting records.
- Assist in the preparation of GST and other statutory reports.
- Support the finance team during month-end closing and external audits.
- Perform other duties as assigned by the Financial Controller.