1. Assist in preparing financial statements, including balance sheets, income statements, and cash flow statements
2. Prepare and maintain accurate accounting records and documentation, ensuring adherence to company policies and procedures
3. Reconcile bank statements and other financial data, identifying and resolving any discrepancies
4. Verify and process invoices, expenses, and other financial transactions in a timely manner
5. Assist in the preparation of tax returns and compliance with local tax regulations
6. Provide support in the preparation of payroll and employee benefits administration
7. Collaborate with team members to assist in financial analysis and reporting, contributing to sound decision-making processes