responsible for managing financial records, ensuring accuracy in reporting, and supporting the organization’s financial operations. The role includes handling daily accounting tasks, preparing financial statements, and ensuring compliance with company policies and regulations. Prepare and maintain accurate financial records and reportsHandle accounts payable and accounts receivable processesPerform bank reconciliations and monitor cash flowAssist in monthly, quarterly, and year-end closingPrepare and review financial statements (P&L, Balance Sheet)Ensure compliance with accounting standards and company policiesSupport audits (internal and external)