Job Summary
Responsible for managing day-to-day financial transactions, maintaining accurate accounting records, and supporting overall financial operations for a foreign exchange firm in accordance with standard accounting principles and regulatory guidelines.
Key Responsibilities
Manage daily financial transactions, general ledger entries, and accounts reconciliation.
Prepare periodic financial reports, statements, and documentation to support management decision-making.
Ensure compliance with financial policies, statutory requirements, and reporting standards.
Maintain organized financial records and collaborate with internal teams on administrative and accounting tasks.
Educational Qualification & Experience Requirements
Education
BA degree in Finance and Accounting.
Experience
2 years and above of relevant professional experience in finance or accounting.
Required Skills & Competencies
Strong practical understanding of financial accounting and reporting frameworks.
Required Skill Tags:
Accounting Principles (GAAP), IFRS, and ERP.
Desired Skill Tags:
Financial reporting, general ledger maintenance, and attention to detail.