Provide accounting support for the organization which includes taking responsibility for the entries on the general ledger including reconciliations and completing detailed reviews of the profit and loss account on the company accounting system.
Preparation of and updating expenses cash book on daily basis.
Maintains the impress account for the station
Keep ledgers of daily activities ( Sales, purchase, expenditures etc. )
Prepares and renders preiodic reports as appropriate e.g. cash flow statement
Reconcile the accounts payable, accounts receivable, daily, weekly and monthly deposits with station attendants.
Preparation of income & expenses statements at the end of every month. Ensuring that financial records are maintained in compliance with lawful and accepted procedures and policies of the company
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