- Collect cost information and maintain an expenses database.
- Plan and record variable costs (e.g. purchases of raw material and operations costs).
- Review standard and actual costs.
- Analyze and report profit margins.
- Prepare (monthly, quarterly and annual) cost forecasts.
- Manage treasury accounting transactions.
- Support daily/weekly/monthly treasury and accounting activities to ensure efficient finance process.
- Update accounts receivable and issue invoices.
- Update accounts payable and perform reconciliations.
- Handle all collections and deposits & do reports.
- Daily update of cash position for all bank accounts, and cash box.
- Compute taxes and prepare tax returns
- Assist with reviewing expenses, payroll records etc. as assigned.
1-5 years of experience as an Accountant.Strong attention to detail and good analytical skills.Experience with managing accounts payable and accounts receivable.Strong understanding of accounting principles and financial statements.Experience with cash flow management and forecasting.Excellent analytical and problem-solving skills.Ability to work independently and as part of a team.Bachelor's in Accounting or Finance.Very good command of English.Advanced MS Excel skills.Experience with e-commerce is a plus.