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Maintain full set of accounts Involvement in day to day accounting operations Handle banking matters and cash flow planning Prepare month-end closing schedules and reconciliations Assist in monthly management reporting and analysis Establish, maintain and improve control procedures Provide support for internal and external audit, tax reporting and submission of government returns Ensure all financial records are maintained properly Prepare monthly ageing analysis - supplier, receivables, etc. Any and all other duties as and when assigned from time to time