1. Complete bookkeeping of Bthe ranch
2. Reconciliation of Banks
3. Reconciliation with Suppliers and Customers, as well as intercompany accounts reconciliation.
4. Practical experience in any Accounting package (Software)
5. Daily supervision/auditing of data entry
6. Daily Cash Book Management
7. Staff monthly payroll preparation
8. Application of packages in CRM and its testing
9. Any other assignment assigned by management from time to time