- Preparation of VAT reports and Intrastat
- Prepare, process and record account payable and account receivable and bank statements
- Processing travel warrants and expense claims (collecting document, bills, bookings and payments related to travel orders and creating accounting -entry)
- Maintain a register of fixed assets and reconciliation with general ledger
- Prepare, process and record compensation and other accounting documents
- Reconcile accounting records with third parties - customers, suppliers, banks, etc.
- Registering of employees on HZMO
- Communicate and correspond with business partners and associates from other departments, banks, audits
- Assisting in monitoring cash flow, prepare payments and payment orders
- Creating monthly report for the Supervisor (business cost analysis, overdue receivables, inventory reconciliations)
- Assisting in creation and delivery of annual statistical reports (GFI, PD, etc.), CNB reports, and other regulatory reports
- Keep records and documentation accurately and in accordance with company policy and accepted accounting practices
- Periodic review and monitoring of accounting data
- Keep up-to-date with relevant accounting laws and regulations
- Report to the supervisor on a daily activities
- Proactive reporting on results and objectives achieved
- All other activities according to Supervisor request in behalf of job position requirements