VEGEFRESH COMPANY LIMITED
May 2012 - Present Day (5 years 3 months)
Budgetary Control & Preparation of Annual Budget
- Direct the daily operation of the company's finance function.
- Develop long range strategies to establish and maintain the financial self-sufficiency of the company
- To continually examine the facts and figures on departmental budget with an unbiased attitude and detached approach.
- Establish the company's accounting system and procedures and ensures they are up-to-date and in compliance with all applicable statutory and regulatory requirements.
- Add value by acting as a facilitator in financial risk assessment and carrying out value for money reviews.
- Rendition of WHT,PAYE & VAT return to appropriate authority.
- Periodic Bank Reconciliation.
- Review of relevant Ledger/ sub-ledger account reconciliation.
- Routing Ledger Management through Peachtree Packages.
- Prepare and issue quarterly and annual audited financial statement and reports.