A Good Opportunity for ..
- Checking Daily Cash Book
- Able to calculate the costing for the company
- Managing all financial transactions including Account Receivable, Payable and Cash flow
- Preparing monthly, quarterly and yearly master budget for operational plan and cash budget
- Producing on time monthly and yearly financial reports - Trail Balance, Income Statement, Balance Sheet and Cash Flow Statement
-Comply with all federal, state, and local protocols including legal requirements, and interpret new and existing legislation
- Computation of Taxation
- Analyzing Financial statements on monthly basic and report to Upper Management
- Presenting the data requested by upper management