Cash Flow forecasting skill –
-Management Accounting Reporting – Month/Year End Reporting
-Fixed Asset Register Maintenance
-Balance Sheet reconciliation
-Payroll – ability to prepare and complete payroll process and run relevant reports
-Prepayments and Accrual
-Statutory Reporting Tax – This means completing tax filing requirements (VAT, Income Tax, Tax deducted at Source) as well as preparing financial statements and liaison with auditors....