Preparation and management of all types of Vouchers, invoices and also Cash Analysis.
Bank Reconciliation and other relevant statements.
Monthly and Annual Financial Reporting, including the Preparation of Financial Statements, Cash Flows Statements, Notes to the Accounts
Maintenance of records and data entry on behalf of clients
Analysis of Financial Statements
Payroll Preparation and Management
Sufficient knowledge about the Income tax and Sale Tax
Maintaining and updating Management information system.
Drafted Accounting Polices and Procedure Manual, Investment Policy and designed various Forms.
Managing Cash flows including investment of surplus funds and arrangements of Bank Guarantees, Loans, Finances, and Banking Facilities to meet the working capital requirements and for the new projects as and when required.
Tax computation of individuals
Employee offer and appointment letters
Preparation of Format of Salary slips and employment contracts
Update organization charts on a monthly basis
Complete and accurate personnel records maintenance in excel