- Monitor the day-to-day financial operations such as invoicing, and other transaction.
- Prepared bills receivable, invoices and bank deposits.
- Producing financial report related to budgets, accounts parables, accounts receivables, expenses etc.
- Implementation of consumer billing system and development of additional payments channels.
- Implementation of Accounting Software capable of storing data and presenting reports accurately.
- Maintaining Supporting Evidence of expenses.
- Prepare and record keeping of registered and Unregistered suppliers ledger.
- Maintain Computerized records of sales, bank payment voucher, cash payment voucher and journal voucher.
- Prepare bank reconciliation statements and correspondence with related departments regarding the adjustment/ clearance off all Pending points identifying in bank reconciliation statements.
- Maintain record of production and stocks
Complete special assignment that assigned by the HOD.
Reconciled accounts and reviewed expense data, net worth and assets.
- Updated general ledger of accounts with current, accurate and industry-compliant data to meet all internal and external audit requirements.
- Organized budget documentation and tracked expenses to maintain tight business controls.
- Gathering of required documentation and files for account audits and completed reviews.
- Generate and Post daily voucher such as bank payment voucher, cash payment voucher & journal Voucher etc.
Reconciliation accounts with Tax department.
Reconciliation of all bank accounts