Velwire designs, builds and operates payment infrastructures, applications and services focused on facilitating real-time electronic payments for emerging economies. Our clients and partners include large-cap tech companies, financial institutions, public sector agencies and intergovernmental organizations.
The role will be to review, investigate, research, and monitor financial tasks and responsible for providing accurate and data-based information on company's profitability, solvency, stability, and liquidity.
Prepare monthly, quarterly, semi-annually, and annual reports of financial statements and submit them to the Management in time.
Record and follow up day-to-day financial operations within the Company, invoicing, and other transactions.
Responsible for reconciling all bank accounts, petty cash, and cash book on daily, weekly, and monthly basis and ensuring all payments have supporting documents.
Ensure all necessary tax and VAT deduction from various sources and deposit with appropriate Government authority within the time limit including submission of VAT returns, reports, and documentation.
Ensure all sorts of accounting source documents such as payments, vouchers are signed by the respective authority and preserved properly.
Understand and adhere to financial regulations and legislation.
Maintain financial policies and procedures for the Company.
Stay updated with technological advances and accounting software.
Support, and drive when required, projects or initiatives requested by Management.
Our Desired Profile
Minimum 3 - 6 years of work experience in relevant field (Preferred industry: fintech, software, MFS)
Bachelor’s degree in Finance or Accounting
Professional degree (CA or ACCA full/ Partly qualified) is a plus
Attention to detail and focus on excellence in execution.
Proficiency in Microsoft Office Suite, including Excel and PowerPoint.