Istanbul, Türkiye
-Booking and reviewing general ledger entries and other financial transactions in compliance with Turkish GAAP and tax legislation. -Performing monthly and yearly accounting closing transactions. -Controlling trial balance and making reconcilations with balance sheet accounts. -Preparing financial statements such as Balance Sheet and P&L. -Preparing workings and declaring VAT, Reverse Charge VAT, Witholding Tax, Stamp Duty, Quarterly and Annual Corporate Tax returns according to official deadlines. -Preparing and designing monthly financial report upon customers request. -Being bridge between bank and the firm. -Cost allocation and budget control.