Manage all accounting transactions.
Manage balance sheets and profit/loss statements.
Handle monthly, quarterly and annual closings.
Audit financial transactions and documents.
VAT computation, filing and managing all VAT declarations and claims back.
Reconciling bank statements and the general ledger and all sorts of reconciliation in accounts.
Meet the audit needs during the audit period.
Daily Accounting and record keeping.
Supporting team for office administrative tasks.
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