1.
Graduate in any field
2.
Prepayments
Accruals
Processing Month End Transaction Entries
Nominal Ledger Scrutiny Of All The Nominal Account Codes To Ensure That The Transactions are Accurately Recorded In That Month
Roll Forward Of Management Accounts Template
Run The Trial Balances – Monthly, Year To Date & Upto Previous Year End
Run The Nominal Activity Report
Telephonic Review Of Management Accounts With Client’s Staff
Preparation Of Cash Flow Statement & Cash Flow Projections
Assisting In Budget Preparation
Preparation & Update Of Forecast On Quarterly Basis
Settling The Intercompany Balance By Preparing The Fund Transfer Statement
Preparing and Filing the Tax And Other Returns