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Job Description:
• Compile and analyze financial information’s and documents to prepare books of accounts and its finalization.
• Maintenance of Day Book and ledgers
• Maintain Cash and accurately record cash transactions.
• Prepare Income Statement and Balance Sheet
• Preparation of cash flow and fund flow statements
• Preparation of projected and provisional Balance sheets
• Payroll preparation and Accounting
• Preparation of Purchase and Sales registers. Monitoring Payables and Receivables; produce monthly statement of accounts.
• Reconciliation of banks, creditors, debtors and intercompany accounts
Key Skills:
• Day Book, Ledger, Income Statement, Balance Sheet, Cash flow, Fund Flow
Required Experience:
• 2-4 years
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