reconciliations. Prepare daily financial reports for management. Address any urgent financial issues or discrepancies discrepancies or issues. Review and analyze weekly financial performance against budget. Conduct variance analysis agreements. 3. Monthly Tasks: Prepare monthly financial statements in accordance with GAAP. Reconcile Reconcile balance sheet accounts. Review and analyze financial performance for the month. Prepare and submit VAT
drafting of Annual Financial Statements in Draftworx Assisting in Audits Analysis of Financial Statements Assist
purpose of this role is to lead, plan, organise and control the daily operations of the branch and warehouse correct Ensure all transactions are reconciled Control and maintain all petty cash transactions Ensure internal and external auditors where necessary Control and monitor all general expenses such as, telephonic