January 2013 - Present Day (4 years 2 months)
• Preparation of financial statement including cashbook, maintenance of fixed asset register and monthly bank reconciliation statement.
• Inventory/debtors management.
• Credit management.
• Regular management of tax related matters i.e. PAYE monthly returns, WHT/VAT returns, Income Tax/Education returns etc
• Relates with external auditors on statutory audit matters.
• Maintenance of VAT and WHT schedule to enhance financial reporting, remittance and reconciliation purposes.