Preparation of Financial Reports and interpretation to Board of Directors.
Preparation of monthly, quarterly or annual budget for the company
Preparation of employees payroll, filling, validation & payment of statutory
Management of Fixed assets and maintaining proper Assets register.
Preparation of month end statutory report ( PAYE, WHT, SSNIT,VAT, Tourism Levy etc) Management of Journals, Trial Balance, Chart of Accounts and General Ledgers. Reconciliation of Cashbook, Bank Statement and Credit Card transactions
Monitor departmental operations hence to avoid overrun budget