Statutory audit of accounts and processes.
Preparation of management letter.
Examine clients’ accounts and financial control systems.
Checking that clients’ financial reports are accurate and reliable.
Carrying out investigation as required by clients.
Recommends appropriate and pragmatic solutions to risk and control issues.
Management Accounts Preparation
Filing of Accounts, Tax and Vat returns.
Liaising with Tax Authorities on client’s behalf.
Provision of Accounting and Tax services.
Maintaining appropriate records of audit working papers, tax and vat records.
Service recovery management
Processing credit requests, bonds and guarantees.
Professional investment advisory services.
Driving the banks electronic banking products and resolving customers’ issues on electronic banking.
Reconciliation and proof of accounts.
Balancing of accounts.
Calling over batches of vouchers for reconciliation and correction of errors.
Paying and receiving cash deposits.
Posting of daily lodgments.
Coordinating activities of tellers in the bulk room.
Assisting in loading ATMs.
Balancing of vault register.
Uploading customers’ requests.
Performing relief duties at the customer service desk.
Cheque clearing functions.
2014,AFFILIATE OF ASSOCIATION OF CHARTERED CERTIFIED ACCOUNTS,UNITED KINGDOM.(ACCA)