Preparation of pay sheet, employee pay slip,
*Compute of tier1 report and submitting using SSNIT portal *Compute report on employee occupation pension scheme (tier 2)
*Collaborate with HR to maintain policies as necessary.
*File and manage Income Tax, VAT, WHT, Reconciliations, Corporate Tax, and all statutory obligations using GRA Taxpayers Portal
*Preparation of Income and Expenditure returns monthly
*Reconcile accounts payable and receivable
* Preparation of Bank Reconciliation Statement and ledgers *Manage balance sheets and profit/loss statements.
*Writing of company cheques
*Entries of data such as Journals, Purchase Orders, Invoices, Petty Cash/Cheque and transfer payments in software of the company *Monthly report on the purchase day book
*Support the Administrative function as and when required. *Assist with the year-end audit process and statutory reporting
*Attending statutory meetings and workshops on behave of the company