Basic Accounting & Bookkeeping
Record journal entries and maintain general ledgers
Prepare and post financial transactions (expenses revenue adjustments)
Assist in monthend and yearend closing processes
Client File Management
Receive and classify client documents (invoices receipts bank statements etc.
Organize and archive documents physically and electronically
Validate and verify supporting documents before entry
Bank & Account Reconciliation
Monitor and reconcile bank accounts
Classify and track transactions across multiple bank accounts
Prepare reconciliation reports regularly
Financial Statements
Support in preparing trial balances and draft financial statements
Ensure all accounts are updated for review and final audit reporting
MultiCompany Accounting
Handle accounting records for two or more related companies under the same management
Record Intercompany transactions and maintain clear separation of records
Assist in preparing consolidated reports if needed
Accounting Software
Work with accounting platforms such as QuickBooks and Zoho Books
Enter transactions generate reports and assist with system migration if required
Requirements
Bachelors degree in Accounting or Finance
Fresh graduate or 0 2 years experience (training provided)
Familiarity with accounting basics and financial reporting
Good Excel skills (sheets formulas formatting)
Strong attention to detail and organizational skills
Willingness to learn and grow in a consulting/audit environment
Bachelor's degree in Accounting or Finance Fresh graduate or 0 2 years experience (training provided) Familiarity with accounting basics and financial reporting Good Excel skills (sheets, formulas, formatting) Strong attention to detail and organizational skills Willingness to learn and grow in a consulting/audit environment
Education
Bachelor's degree in Accounting or Finance