Presentation
Background
Assisted in the preparation of monthly financial reports including Profit & Loss statements, Balance Sheets, and Cash Flow Statements.
Supported payroll preparation and transaction posting in the IFMIS Accounting System.
Assisted in filing statutory tax returns including PAYE and Withholding Tax (WHT).
Entered expenditure and revenue transactions into the Integrated Financial Management System (IFMS).
Participated in monthly bank reconciliation processes and accounts payable reconciliations.
Maintained accurate financial records and filing systems for efficient document retrieval.
Supported debt follow-up processes to improve cash collection and cash flow management.
Worked closely with procurement and finance teams to support supplier relationship management.
Assisted in petty cash reconciliation and accountability procedures.


