- Compiles financial information for the purpose of providing required documentation and/or processing information .
- Maintains financial information, files and records
- Reconciles financial data for the purpose of maintaining accurate account balances and ensuring compliance with established accounting practices.
- Contribute To Corporate Office On Monthly Basis Out Of The Profits Generated.
- Meeting All Statutory Compliances Related Payments In Time.
- Completion Of Statutory Audit Submission Of Annual Accounts Within Time framework.
- Fulfilling All Internal Audit Requirements Implement Their Suggestions For Improvements