1. Preparation of daily cash reconciliation Book
2. Managing Payables and receivables.
3.Preparation of Payment advices
4. Posting of transactions into account software(tally-9)
5. Liaising with regulatory agencies
6.preparation of trial balance
7. Managing the general ledger
8.supervising of accounts personnel.
1.Preparation of bank reconciliation statement.
2. Managing staudents account.
Progresses made at acquiring professional certificate with institute of chartered accountants of nigeria(ICAN).I am part qualified.