Having regular interactions with senior financial officers across the company. Maintaining Accounting related works (book keeping, vat working, year ending bookkeeping section) Performing monthly Bank Reconciliation (Xero),Uploading bank statements,P60,P30,Invoice volume data base, Expenses journal(Yearly basis),Payroll journal(Yearly basis) and Expenses Processing. Income tax work of clients and converted into Form 11. B1 for the umbrella companies CT of Umbrella companies and Year end working papers preparation Invoice creations for FLC companies VAT filing for the PLC companies