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