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Summarize/ prepare financial status by collecting information and data entry for general ledger account, journal entries, balance sheet, profit and loss statement and other reports. Check/compile statutary tax data, tax documents and ensure adhere to tax payable monthly, quarterly and annually. Monitor/support in preparation of cash and bank transactions in line with financial d taxation policies and procedure Review/prepare budge, renvenue, expense, payroll entries, invoices and otheraccounting documents Ensure/maintain documentation system is well-organized and properly operated.
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