Maintain books of Accounts.
Prepare Tax Caculcations and Tax Statements.
File Tax Statements.
Perform general accounting functions, including preparation of journal entries.
Accounts receivable, develiping invoices/bills and reconciliations.
Preparing payments, cheques, vouchers.
Maintaining Cash / Petty Cash / Bank Records.
Reconcilliation of Bank, Cash Accounts.
Produce monthly effective MIS reports using advanced MS Excel and Microsoft Access functions
Prepare cash flow & profit and loss statement on monthly basis.
Ensure compliance to SOP, Procedures, Policy.
This job was originally posted on Mustakbil.com