•Administration Support •Recording Ledgers, Books and Accounts •Preparation of Monthly, Quarterly and Annual Report • Bank Reconciliation •Bookkeeping and monthly Financial Statement generation. •Making journal entries, issuing invoices, receipts and checks, preparing deposit and •Handling of Account payables, receivables, sales, cash account & petty cash disbursements. •Data entry for purchases, sales, receipts, payments and other transactions and generating reports using MYOB Accounting Software.