* Recording of daily transactions
* Maintenance of general ledger
* Accounts payable and receivable management
* Bank and cash reconciliations
* Monthly, quarterly, and annual financial statements
* Management accounts and performance reports
* Profitability and cost analysis
* Customized reporting for decision-making
* Payroll processing and salary structuring
* Compliance with tax and statutory deductions
* Employee benefits accounting
* Vendor and customer account reconciliation
* Expense tracking and control
* Working capital monitoring
* Preparation of financial statements
* Coordination with auditors
* Adjustments and closing entries
