Job Description
- Monitor the financial transactions, check and review supporting documentation and data entry and filing.
- Maintain accounts by recording, identifying and verifying financial transactions.
- Finalization of Monthly and Annual Accounts.
- Preparation of daily bank report and monthly bank Reconciliation.
- Prepares and records asset, liability, revenue, and expenses entries by compiling and account analysis.
- Reconciliation with suppliers and customers.
- Being involved in Day-to-Day accounting & financial affairs.