Financial record management
Bank reconciliation
Ledger posting & adjustments
Expense tracking and documentation
Preparing basic financial reports
Understanding of audit processes
Data analysis and interpretation
Microsoft Excel (formulas, tables, data organization)
Microsoft Word & documentation
Basic financial modeling
Problem solving and logical decision-making
Filing and organizing financial documents
Supporting budget preparation tasks
Maintaining accurate data entry systems
Assisting with treasury and cash office duties
Calm, disciplined work approach
Strong attention to detail
Respectful communication
Team collaboration
Adaptability and willingness to learn
Microsoft Excel
Microsoft Word
Google Workspace
PDF and document management tools