Job Description

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  • To perform accounting data entry.
  • To check and ensure that all cash books for receipts and payments are correctly and accurately taken up on daily basis.
  • To prepare tax analysis for relevant accounts.
  • Assist in AP, bank re-con
  • To prepare monthly management accounts.
  • To coordinate for year-end audit.
  • To execute all policies, activities, procedures, instructions as relevant and required by the quality management system.
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