Preparation of quotations for clients
Rendering monthly VAT & WHT returns
Weekly bank reconciliations
Lodgments of company sales to the bank
Preparing monthly financial statement
Computing and remitting staff Pension and Paye to appropriate quotas
Arranging credit terms with the creditors.
Rendering weekly and timely financial reports for decision making.
Preparation of Monthly Management Accounts Report for decision making
Agreeing Terms of Payments with the creditors
Preparing Creditors and Debtors Ledgers control accounts
Paye ,Pension and Vat computation
Preparation of Monthly Management Accounts Report for decision making as there accounts before.
Paye ,Pension and Vat computation and witholding taxes for both state and federal all these were not done before my appointments.
Timely financial reporting with the use peachtree accounting software.
Preparation of Monthly Reports
Bank Reconciliation Statement
Preparation of Loan Amortization schedule