accuracy, and implement cost control measures.
Assist in the preparation of budgets, forecasts, and financial
cashflow reports to ensure financial transparency Assist with adhoc tasks and communicate effectively with
to resolve customer disputes or issues.
card statement reconciles to General ledger. Assisting Financial manager as and when required Daily capturing
regulations. Complete VAT calculations and submissions. Assist with budgeting and forecasting. Conduct internal
clearing old queries and open payments;
transactions and communications in the accounting system Assist in month-end closing activities, including reconciling
and maintain balance sheets. Prepare tax filings. Assist with budgeting and forecasting. Conduct internal
adjustments, Vat returns and Vat reconciliations Assist with Tax computation and preparation of tax returns
adjustments, Vat returns and Vat reconciliations Assist with Tax computation and preparation of tax returns