Developing and managing financial systems/models.
Controlling income, cash flow and expenditure, and managing budgets.
Managing and working with an internal accounts team and external auditors
Book writing including cash book, debtors, creditors, control ledger, purchase/sale day book petty cash book etc.
Preparation of profit and loss account and balance sheets on yearly basis to submit income tax and ROC with in stipulated time.
Monthly bank reconciliation.