and ensure proper documentation of all expenses.
Prepare and reconcile
Bank Reconciliation Statements (BRS)
.
Download, review, and manage
bank statements
regularly.
Create, update, and maintain financial data in
Advanced Excel
and
Google Sheets
.
Assist in
invoice preparation
and ensure timely billing and follow-up.
Organize and maintain records of receipts, vouchers, and supporting documents.
Support in compiling data for audits and internal financial reviews.
Ensure timely and accurate financial reporting to the finance lead.
Job Type: Full-time
Work Location: In person
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