Accounting Officer
CurrentBank Reconciliation using Sage 300.Compute and remit staff Pension, PAYE, NHF and all statutory contributions in junction with the human resource department.Examining bank statements and reconciling them with general ledger entries.Examining expense submitted by employees.Creating company financial reports with the above information.Analyzing data collected in order to determine the state of the company's finacial health.Preparing reference letters to bank for bidding contracts.Examining the proficiency of accounting data organization.Endof the accounting year audit and financial documets assembling.Preparing Asset register schedule, insurance schedule and amortization of company's assets for every fiscal year.