1)Establishment & update financial accounting software(Like Quick Book). 2)Prepare income statements, balance sheets, daily & monthly financial statements. 3)Prepare reconciliation of bank statements. 4)Prepare salary / rosters of the project staff. 5)To maintain salary deductions, allowance, additional duties and actions advice. 6)Deal all employees salary bank account numbers & all bank matters. 7)To manage the all bank funds and also prepare cheques and payment vouchers.