balance sheet accounts and conducting analysis of income statements. Prepare journals for monthly accruals
balance sheet accounts and conducting analysis of income statements. Prepare journals for monthly accruals
Custodian of the loan management system Preparation of income tax and VAT calculations and reconciliations Processing
Custodian of the loan management system Preparation of income tax and VAT calculations and reconciliations Processing
clients. Key Responsibilities: Analysing a company's income and expenses. Preparing financial statements in
the preparation of financial statements. Generate income statements and balance sheet reports Ad hoc accounts
categorizing, and logging bank statement data. Manage all incoming customer payments, ensuring accurate allocation
categorizing, and logging bank statement data. Manage all incoming customer payments, ensuring accurate allocation
responsibility for audit requirements. Prepare Income Tax packs. Handle VAT and other tax requirements
responsibility for audit requirements. Prepare Income Tax packs. Handle VAT and other tax requirements