Preparing statutory accounts.
Sorting out incoming and outgoing daily post and answering any queries.
Managing petty cash transactions.
Reconciling finance accounts and direct debits.
Maintain, manage and record day-to-day transactions.
Prepare, maintain and manage general ledger accounting.
Inspect, verify and reconcile accounts receivable records and its balances.
Assist in preparation of annual accounts and annual budget.
Perform reconciliation of banking transactions.
Prepare various financial statements and records periodically.
Perform and provide analysis support for key departments in managing budgets.
Prepare and verify daily reports
Prepare daily income/sales and prepare daily journal entry
Prepare monthly balance sheet schedules