Account payables and receivables\r\nDaily accounting operations\r\nPayroll and utility management\r\nBudgeting and forecasting\r\nAccounts and statement reconciliations\r\nPetty cash and cheque management\r\nOffice Administration\r\nCost Accounting\r\nQuantitative analysis\r\nAuditing\r\nTaxation\r\nFinancial Accounting and Management\r\nCooperative Banking and Accounting\r\nEconomics and Statistics\r\nComputer Studies and Application\r\nFixed assets management\r\n
Travelling
RECENT ROLE: Accountant\r\nPERIOD: From Jan 2016 To Feb 2021\r\nMAIN DUTIES PERFORMED:\r\n• Responsible for preparation of financial documents such as Cash Flow, Income statement, Financial statement, monthly and annual budgets.\r\n• Handling accounts payables and accounts receivables.\r\n• Managing bank, petty cash and mpesa reconciliations.\r\n• Ensure compliance with company’s policies and recommend policy changes as needed.\r\n• Office Administration.\r\n• Maintaining accurate payroll management on monthly basis.\r\n• Keep up to date with all monthly payments such as NHIF,NSSF,PAYE and VAT as per Company Laws and Regulations.\r\n• Coordination of internal and external audits.
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