Record day-to-day financial transactions and complete posting processes. Verify transaction accuracy in the ledger and perform partial check of posting processes. Perform bank reconciliations. Enter data, maintain records, launch reports, and process accounts receivable and payable. Assist in preparing management accounts. Maintain full sets of books for clients, including payments, bank reconciliations, fixed assets, journals, and financial reports in Xero. Prepare unaudited financial statements and payroll support for clients. Understand and adhere to Hong Kong financial regulations and legislation. Work with internal stakeholders and third-party consultants on specifications. Have prior experience with client-facing roles. Experience with agency and consulting roles. Perform other ad-hoc accounting related duties.