Prepare financial statement.
Develop and implement financial policies, procedure, and control to ensure compliance with regulations and best practice.
Filling client’s taxes with Federal Inland Revenue Service and State Inland Revenue Service.
Computing taxes (Personal Income Tax, CIT,EDT,WHT,VAT)
Oversee tax planning and compliance, ensuring the company takes full advantage of tax benefit.
Monitor cash flow
Registering of companies with Corporate Affairs Commission (CAC).
Financial analysis.
Monthly tax remittance
Documenting of audit work papers and findings
Balance all sales from previous day within entire store.
Manage day-to-day financial operations
Stock taking
Monthly bank reconciliation
Collaborate with external auditors and ensure the timely completion of audit
Proper filling of correspondence