Tasks include but are not limited to: -
- Keeping accurate financial records and maintaining accounts
- Monitoring cash flow, account balances, and lines of credit to ensure financial health
- Preparing and producing financial statements, budgets, expenditure reports, and analytical summaries using account books, ledgers etc
- Preparing and processing invoices, purchase orders, and bank deposits accurately and in a timely manner
- Reconciling financial records and transactions against monthly bank statements to ensure accuracy and completeness
- Verifying recorded transactions, identifying discrepancies, and reporting irregularities or issues to management promptly
- Complete and submit tax-related forms, including calculating and reporting business tax obligations such as GST and PAYE
- Supporting end of yeat financial processes, audits and compliance reporting as required