Create bookkeeping records and financial reports, and input accounting journal data into the company's system.
Reconcile and adjust financial data.
Assist with and oversee the company's end-to-end strategies and budget plans, ensuring compliance and supporting strategic financial planning.
Calculate, pay, and report taxes on time.
Conduct inspections, verifications, and ensure proper archiving of financial, tax, and other important company documents.
Requirements
Previous experience in finance and accounting roles, preferably in the consumer goods industry.
Proficiency in cash flow recording, budgeting, COGS costing, financial reporting processes, analysis, and financial strategies for startups and companies.
Ability to calculate and report monthly and annual taxes.
Experience with accounting and ERP software.
Strong financial acumen and experience with financial planning and analysis are a plus.
Detail-oriented, highly organized, and able to perform well under pressure.