Processing and tracking bank transactions in the accounting system; Managing accounting for equipment and low-value assets; reconciling with the warehouse system; Handling expense reports, reconciling with employees, and collecting supporting documents; Managing settlements with contractors and vendors, ensuring all documentation is in place; Calculating and posting taxes within management accounting; Managing internal reconciliations between projects; Performing monthly closing procedures; Recording revenues in the accounting system; Organizing, coordinating, and supervising the finance team; Supporting ERP improvements, participating in testing and refinement.