Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
Preparation of monthly Bank Re-conciliation Statement.
Review of invoices, bills, vouchers, or other documents for corrections before entering into records.
Calculation of wages, overtime, and deductions to ensure compliance with company rules.
Assist the Manager in all his activities.
Ensure compliance with relevant legislation.
Develop and check budgets.
Give advice on a range of financial aspects of business such as budgets, tax and cash flows.
Analyze how well business is performing financially.
Review business's accounting procedures.
Interaction with Internal and External Auditors.
Performing office communication and administrative duties.
Being a diverse experienced, multi-dimensional and highly flexible person, I want to associate myself with an organization which places professionalism at the root of all business endeavors while offering abundant opportunities for growth and the work environment which is enriched with challenges.