Prepare, review and ensure accuracy of Tax & Government Compliance (eg VAT, Corporate Tax, Income Tax, etc)
Develop and execute strategic financial planning
Prepare financial reports such as Income statement, Balance sheet, Cash flow and Trial balance.
Bank REconcilation and Forecasting
Sales Analysis
Preparation of monthly and yearly budget
Supervise and reconcile accounts payables and receivables
Supervise inventory (costing, pricing, reorder point, variance analysis, etc)