In charge a role of C.A to solve any matters of accounting/financial
Listing, checking and ensuring issues related to Tax are corrected
Control/ analysis number of Report (expensive, budget, actual, …)
Prepares all monthly bank account reconciliation; check and Reconciles all balance sheet accounts and selected profit and loss accounts monthly before closing
Prepares monthly variance analysis reports between budgeted and actual figures
Revert, accrual and posting database correctly
Compile, code, categorize, calculate, report, audit and verified information to the Sun system
Assist the FC in the preparation of whatever special projects and reports are required