We provide dedicated accounting and audit support to handle your day-to-day bookkeeping service. Our responsibilities shall be to;
Manages financial accounting system including managing cash flow, tracking expenditures, sales, and preparing monthly financial reports
- Ensure all sales and payment receipts/vouchers are correctly recorded
- Preparation of monthly financial reports that are transmitted to the Management
- Manages monthly VAT tax filing process, and prepares monthly reports to FIRS.
- Reconciles bank records and prepares monthly bank report
- Ensure payments are duly made for approved expenditures and vendor invoice
- Ensure all business transactions and payment instructions between your organization and your clients are documented and filed appropriately
Our accounting and audit support deliverables shall include;
- Weekly Cash Status
- Monthly financial statements
- Trial Balance
- Income Statement
- Cash flow statement
- Sales Reconciliation and
- Balance Sheet