Africruit
Location
Abroad | India
Job description
Experience: Someone who has worked into CA Firm
• Ensuring timely input of data required for preparation of monthly financial statements.
• Coding and posting journal voucher entries into general ledger
• Posting and passing the unit revenues in the system and preparing the Balance Sheet and TL accounts
• Managing, updating and reconciling the provisions account
• Prepare and manage statutory returns to ensure compliance.
• Update and review various accounts reconciliations to ensure their correctness and give guidelines on how to resolve any differences i.e. bank reconciliation's.
• Reviewing payroll run reports to ensure reliability and effecting payroll journals
• Checking all cash payments to ensure accuracy and that all amounts are accounted for
• Monitor and re-enforce internal controls.
• Royalty computation and payment to artists.
• And any other duties that may be assigned from time to time.
Job tags
Salary