Job Description
● Bookkeeping, analyzing, and reporting accounting transactions.
● Issuing cheques and performing all treasury activities.
● Creating periodic reports, such as balance sheet, profit & loss statements, etc.
● Maintaining accurate financial records.
● Reconciling all accounts and resolving discrepancies.
● Prepare seasonal transaction reports and VAT declarations.
● Examining bank statements and reconciling them with general ledger entries
● Examining expenses submitted by employees in petty cash form.