Accounts, tally work, office Administration and over all office work.
Preparing the monthly profit and loss, and balance sheet reports
Tax reporting and inventory processing
Advising on estimates for project funding
Preparing weekly cash flow statements, and controlling expenditure and cash flow
Assisting with the preparation of year-end accounts and statutory accounts
Examining financial records to check for accuracy
Manage and maintain financial records, including accounts payable and receivable, invoices, and bank statements.
Prepare and review financial reports, such as balance sheets, income statements, and cash flow statements.
Analyze financial data to identify trends, discrepancies, and opportunities for improvement.
Assist in financial planning, budgeting, and forecasting activities.
Ensure compliance with financial regulations and company policies.