Prepare financial statements and bank reconciliations.Involved with the preparation of monthly financial statements and reports.

preparation, review, analysis and presentation of financial and management reports of smaller companies to Accounting Managers and /or the Corporate Controller.

Assist in the month end closing.

corporate reporting and other financial analysis as required, such as presentations for the Annual Meeting

Assist in setting up and monitoring the financial results.

Preparation of operating statements and supplementary schedules on a monthly basis.

Including Balance Sheet and profit and Loss statements

preparing reports, analyzing data and providing advice
Includes coding of approved invoices, entering into the accounting system, cutting the cheques and making sure accounts payable are current and up to date.

Monitoring bank and cash flow updates

Prepare financial statements, compile comparative cost analysis, monitor and reconcile inventory balances as well as meeting company and government requirements.

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