• Maintaining the various ledger accounts including reconciliation of the general ledger, and expenditures.
• Maintaining all internal and external reporting/regulations for the Revenue Department and third party audits.
• Following up on / monitoring supplier payments.
• Conducting aging analysis and implementing appropriate countermeasures where necessary.
• Managing the reconciliation of AP accounts.
• Conducting account reconciliations of the sub ledger.
• Controlling treasury activity.
• Maintaining local tax regulation practices within the department.
• Controlling disbursements.
• Maintaining various vouchers.
• Preparing VAT reports.
• Managing cash outflow.
• Developing financial tools to maximize company financial targets