reconciliations. Process accounts payable and receivable transactions. Maintain and update accounting records and
experienced in preparing accounts receivable transactions and processing customer payments in the property and procedures Performing day to day financial transactions, including verifying, classifying, computing
and styling advice to customers Handle cash transactions and operate the point-of-sale (POS) system Maintain
and styling advice to customers Handle cash transactions and operate the point-of-sale (POS) system Maintain
withdrawals, and transfers. Ensure all bank transactions are accurately recorded and reported. Overseeing
on the tax impact of corporate strategies and transactions. Identify and implement tax-saving opportunities
management. Monitor cash flow and financial transactions to ensure proper allocation of funds. Oversee
management. Monitor cash flow and financial transactions to ensure proper allocation of funds. Oversee
Reporting: Maintain accurate records of export transactions, including shipping details, costs, and compliance
Reporting: Maintain accurate records of export transactions, including shipping details, costs, and compliance