Our firm will ensure providing you with the best service in the
following areas:
Development, analysis and
interpretation of statistical & accounting information in
order to appraise operating results in terms of
profitability, performance against budget and respective
issues having a direct impact on the operating effectiveness
of the corporation.
Cash Flow
Prepares financial analysis of
operations, including interim and final financial statements
with supporting schedules for the guidance of management.
Insure the company’s plans and
policies, its accounting practices, the conduct of its
relationships with lending institutions and the financial
community, the maintenance of its fiscal records and the
preparation of financial reports.
Supervises general accounting and
budgetary controls.
Maintains the systems of accounts and
keeps books and records on all transactions and assets.
Compliance with all legal/local
requirements.
Matches GL account reconciliations
and booking in the general ledger.