Presentation
Allocation and review of accounting documents
Bank reconciliations
Monitoring of customer and supplier accounts
Cash flow and cash register monitoring
Tax returns: VAT, AIB, corporate income tax, payroll income tax, TEO, business license tax, etc.
Accounting closing procedures
Preparation of SYSCOHADA financial statements
Review and reconciliation of accounts
Updating and regularizing accounting records
Preparation of periodic accounting statements
Financial dashboards and reporting
Preparation of projected budgets
Assistance with tax audits
Setting up accounting systems for new businesses
Outsourcing of the accounting function
Administrative and financial assistance

