Provide accounting and clerical support to the accounting department.
prepare and maintain accounting records and documents
prepare bank deposits. general ledger postings & statement
Reconcile accounts in timely manner
Daily data entry of financial transactions
Reconcile accounts in a timely manner.
Daily data entry of financial transactions in database.
Research, track & restore accounting or documentation problems & discrepancies.
Inform management &compile reports/summaries on activity areas.
Function in accordance with established standards, procedures & applicable laws.
Good computer knowledge
Good in english (Writing and Speaking)
Learning skills
Leadership skills