Supervise all regular accounting processes such as A/P and Journal Entries plus monthly closure accounts.
Analyze and forecast financial requirements for organization.
Supervise and ensure efficient working of all financial transactions in organization.
Assist departments in account reconciliation process on monthly basis.
Monitor authorized account reconciliation process.
Administer all bank transactions and oversee data recording procedures monthly.
Analyze different general ledger accounts regularly.
Develop budgetary plans
Collate bank statements on monthly basis.