Tasks are the following :
- Process journal entries and general ledger operations
- Review journal entries and reconcile accounts
- Administer accounts payables and accounts Receivables
- Review and reconcile Bank accounts
- Arrange & prepare all payments
- Handling petty cash
- Handling online tax declaration (VAT, Tax on salaries)
- Reconcile and maintain balance sheet accounts
- Cash Flow Analysis
- Assist with preparing and coordination of the audit process
- Coordinating with the NSSF