Prepare & Maintain Cash Flows, Monthly Financial statements, Balance & Income sheets. Assist in end of year books for audits,
Ensure operational compliance and policies and respond to queries/ correspondences
Perform basic office management duties as requested
Reconciling monthly/ quarterly sheets bank accounts and general ledgers,
Process payroll and report payroll taxes
Process vendor payments and cheque requests
Manage Annual budgets including preparation of periodic budget forecasts
A well organised, good verbal and interpersonal skills, who can work independently and effectively, by organising tasks, set priorities, meeting deadlines and multiple tasking.
Must demonstrate good judgement and problem solving skills.