Accounting Assitant
Hedge Finance
Total years of experience :1 years, 0 Months
Recorded and organized financial transactions, including invoices,
receipts, expenses, and payments, into accounting software.
Regularly reconciling bank statements, accounts payable, and
accounts receivable to ensure accuracy and identify differences.
Preparing and generating financial reports ( profit and loss statements,
balance sheets, and cash flow) statements.
Conducted technical and analytical reviews of tax returns to check for
accuracy and qualified deductions.
Calculating, filing, and ensuring compliance with various taxes,
including income tax, GST, and other relevant tax regulations.
Managing company expenses, including employee reimbursements
and vendor payments.
Assisting with internal and external audits by providing financial data
and documentation, and ensuring compliance with audit requirements.
Assisting with internal and external audits by providing financial data
and documentation, and ensuring compliance with audit requirements.
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