Manage the asset register Prepare monthly balance sheet recons and journals. Prepare monthly profitability analysis for reporting Daily cash book capturing and reconciling Preparation of all financial reports Management accounts E-filing Preparation of invoices Debtors / Creditors Functions At least
clients and extracting statements monthly Review all junior accountant entries for discrepancies Collaborate
physical design to meet system storage requirements Installing and testing new versions of the DBMS Writing database integrity and security Commissioning and installing new applications and customising existing applications
Managing risk of financial loss, Vat, Managing Junior staff member. To carry out their responsibilities