Accounting, Processing and Reconciliation of Accounts Receivables, Payables, Petty cash, inventory and Expenses.
* Preparation of the Statement of Cash flow and Trial Balance.
*Budget preparation and periodic analysis.
*Investigate and respond to Audit queries.
*Monthly financial reports compilation.

*Filing of accounting documents and information in accordance to their respective files.

* Knowledge of MS office and accounting software

* Organizational and multitasking abilities.