– Responsible for all accounting work associated with Account Payable and Retail Inventory including month-end closing.
– Checking, making payments and keeping the bills paid.
– Preparing financial report. ie : P&L, Balance Sheets and budgets.
– Liaise with external auditors, tax agents and external parties to ensure relevant statutory compliance.
– Creditor Reconciliation & Stock Reconciliations.
– Undertake ad-hoc projects and other job duties which may be assigned from time to time.