Responsabilities
Reconciling finance accounts Maintaining spreadsheets and specific excel files
Assist in filing and keeping proper books of accountÂ
Preparing statutory accounts as directed by the Accounts officer or Accountant
Managing daily post in and out Â
Receiving and processing all invoices, expense forms and requests for payment
Keeping stock records/maintaining stock inflows and outflows
Preparing waybills and delivery records
 Verifying calculations working with the Accounts system Managing petty cash transactions