Label House Group Limited:
Assist Accountant with monthly Journal entries for close off
Assist Accountant with preparation of the different Profit & Loss reports for monthly financial close off
Assist Account Payables with the preparation of reports and schedules
Assist with reconciliations of USD & TTD bank accounts for RBL
Assist in the preparation of reports and schedules for end of year audit
Assist Accountant with the entry of budgets for the different Profit & Loss divisions annually
Handle petty cash as assigned and act as back up when necessary
Maintain files and documentation in accordance with company requirements
Assist with preparation of purchase Orders
Create and file GRN’s for both local and foreign purchases as required
Perform monthly stock counts
Assist with the preparation of inventory reports
Assist with costings of foreign purchases
Update purchases report on a weekly basis in keeping with company requirements
Click Media TT Limited:
Compile and analyse monthly financials statements and other financial reports in accordance with accounting standards.
Prepare invoices and payments
Reconcile monthly TT$ and US$ bank account to General Ledger
Calculate, prepare and coordinate payment of statutory tax for Green Fund/Business Levy/Corporation tax
Calculate and prepare Vat returns ensuring compliance with statutory requirements
Issue of cheques, drafts and customs letter payments for TT$ account
Prepare budgets as necessary and compare budgeted costs to actual costs
Handle all Insurance renewals
Prepare schedules for filing of corporation tax annually
Coordinate annual Audit schedules and assists auditors with documentation and explanations as necessary
Maintain files and documentation in accordance with company requirements
The Pouch Company Limited:
Coordinate annual Audit schedules and assists auditors with documentation and explanations as necessary
Compile and analyse monthly financials statements and other financial reports in accordance with accounting standards.
Co-ordinate collections and deposit of cheques
Prepare invoices and payments.
Update AR and AP registers on a timely basis as per company requirements
Reconcile monthly TT$ bank account to General Ledger daily
Reconcile monthly US$ bank account to General Ledger daily
Prepare and Coordinate payment of statutory tax for Green Fund/Business Levy/Corporation tax
Calculate and prepare Vat returns ensuring compliance with statutory requirements
Issue cheques, drafts and customs letter payments and wire transfer payments
Prepare schedules for filing of corporation tax annually
Maintain accurate Fixed Assets, Prepayments & Accrual schedules
Prepare Purchase Orders for all TPC purchases
Perform monthly stock counts for TPC
Assist with monthly inventory reports and radius updates
Handle petty cash as assigned and act as back up when necessary
Maintain files and documentation in accordance with company requirements