> Preparation of client’s monthly and annual financial reports. >Balance sheet items reconciliations e.g. Creditors, Debtors, banks, Fixed assets. >Online filling of returns (VAT, PAYE, Withholding tax, I tax Registration) >Payroll management >. Advising clients on various tax issues and assist them in interpretation of their financial statements >Preparation of audit schedules and tackling audit queries Reconciling the petty cash control account & related party. > Updating the asset register. > Monthly reconciliation of stocks > Checking of requisitions (Expenses