Financial Record Keeping: Maintain accurate records of all financial transactions.
- Bookkeeping: Post journal entries, reconcile accounts, and manage ledgers.
- Financial Reporting: Prepare balance sheets, profit & loss statements, and cash flow reports.
- Audits & Compliance: Assist with internal/external audits and ensure adherence to accounting standards.
- Tax Management: Calculate, prepare, and file tax returns as per statutory requirements.
- Budgeting & Forecasting: Support management in planning budgets and monitoring expenses.
- Bank Reconciliation: Match company records with bank statements to ensure accuracy.
- Payroll Processing: Oversee salary disbursement and statutory deductions