Review all invoices for appropriate documentation and send for approval prior to payment.
Prioritize invoices according payment terms for payments.
Processes check requests.
Match invoices to checks, obtain all signatures for checks and distribute checks accordingly.
Respond to all vendor inquiries.
Reconcile vendor statements, research and correct discrepancies.
Prepare statement for Group Company Account reconciliation with vendor statement.
Maintain files and documentation thoroughly and accurately, in accordance with company policy and accepted accounting practices.
Accounting of Insurance for prepaid and expenses.
Create and monitor a system of controls, procedures, and forms for the recordation of fixed assets.
Assign tag numbers to fixed assets.
Record fixed asset acquisitions and dispositions in the accounting system.
Calculate depreciation for all fixed assets.
Conduct periodic physical inventory counts of fixed assets.
Submission of Tax Returns to Federal Board of Revenue.
Documentation for Income Tax & Sales Tax.
Documentation for Professional Tax.
Coordination with external auditor and tax lawyer.
Preparation of Bank reconciliation statement.
Handling rent payments of factory and offices.
Handling all utilities bills payment and filling their records.
Collect quotations for items required at the minimum rate for the best quality within the required period.
Consult with suppliers, review quotations and prepare purchase order on the approval of purchase order.
Determine and negotiate contract terms and conditions.
Ensures purchase orders, receiving and invoices are matched.
Verifying the accuracy of invoices and other accounting documents or records.
Prepare daily journal entries.
Purse outstanding debts in order to ensure that cash is collected within the normal credit period.
Ensure that all cheque payments are supported by authorized invoices.
Monthly reconciliation of Purchase ledger balances to supplier statements.
Assist the Accountant in the preparation of period end journals for accruals, prepayments etc.
To verify Goods Received Notes (GRN) of Medicines and General Items.
To arrange assistant auditor team for surprise inspection of different hospital wards and departments.
Calculation of Depreciation on Fixed Assets and other related assignment. Prepare reports for shortage, excess and spoiled items. Preparation of report of various hospital departments to submit to HODs. Frequent checking of sample inventory of general store & pharmacy and prepare required report. Daily routine checking of various departments’ income through MIS (Medical Income Sheet). Surprise inspection of cash counters. Surprise inspection of FSD (Foods & Service Dept.)
Other general accounting duties as assigned
Record maintain for the bank deposit slip on daily basis for different branches.
Preparation of Bank Reconciliation.
Calculation of Depreciation on Fixed Assets and other related assignment.
Inventory verification.
Maintain record for different documents.
Assignments on ad hoc basis.