Handling Accounts of employee wages and salaries, as well as other benefits and compensations
Ensuring prompt payment to all organisation’s associates (suppliers, partners and investors)
Establishing and implementing effective financial control policies in the organization
Monitoring and reporting on the investments of the organization
Accounts reconciliation and co-ordination of the accounts of various branches of the organization
Efficient and effective documentation of financial transactions
Preparing daily, weekly, monthly and yearly financial statements for audit purpose.
Responsible for all foreign exchange transactions and monitoring.