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Fact-tracking accounting information;
Filing accounting and financial documents and record all transactions;
Keep financial and bookkeeping records compliance with local legal requirements;
Create, maintain and balance all accounts under the companys control;
Create and follow up all entries including post journal entries, trial balance of books, general ledgers and reconcile all accounts,
Prepare corporation income tax and financial statement under the accountants instructions;
Tax remittance, staffs compensation, pension contributions, PD7A and other document under regulations;
Payroll calculations, and payroll cheques;
Follow up and arrange payments for utility, and other bills;
Other statistical, financial and accounting reports