- To prepare a full set of accounts. - To perform daily accounting duties in relation to AP for HQ and associate companies. - To assist in financial analysis, cash flow management & forecasting - Record and maintain accurate accounting entries in the accounting system. - To assist in financial analysis, cash flow management & forecasting. - Assist in bank reconciliation and petty cash management. - Liaise with suppliers, banks, auditors & other finance & regulatory authorities when necessary. - Perform any other duties assigned as and when required by management.