Assist with accounts payable and receivable processes.
Process invoices, expense reimbursements, and petty cash transactions.
File and organize financial documents including invoices, receipts, purchase orders, and bank statements.
Initiate payments related to offshore banking, taxation, and social security matters.
Reconcile transactions with customers, suppliers, and financial channels.
Handle data entry and ensure accuracy of financial data.
Assist in the preparation of financial reports and analysis of business data across various dimensions as per business needs.
Liaise with internal departments and external vendors.
Support the finance team with general administrative tasks as needed.