Ensuring that financial records are accurately maintained
Overseeing book keeping & financial reporting
Monitoring & implementation of internal financial controls
Cash flow management
Ensuring reconciliation of company accounts
Ensuring timely preparation of financial statements
Process of payroll and related transactions in a timely manner
Maintaining of client account
Ensure timely recovery from clients
Working knowledge of sales tax, Income tax and (WHT) withholding tax.
Maintaining compliance with tax and corporate secretarial requirements
Different reports and returns to management as requested
Recording of transactions in accounting software (Quick Book / Tally / Excel )
Exercising controls over collections, disbursements, receivables accounts, fixed assets and inventories