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ވަޒީފާގެ ތަފްޞީލު
    • Prepare and issue invoices to clients or customers.
    • Track payments and follow up on overdue payments.
    • Ensure timely payment of invoices, bills, and other financial obligations.
    • Assist with the preparation of payroll for employees and other staff compensation.
    • Prepare and assist in the preparation of monthly, quarterly, and annual financial statements.
    • Prepare detailed reports on financial performance, such as profit and loss statements, balance sheets, and cash flow statements.
    • Assist in the preparation of financial forecasts and budgeting processes.
    • Provide reports to senior management as required, highlighting key financial insights.
    • Manage daily cash flow, including monitoring and reconciling cash balances.
    • Prepare bank deposits and manage petty cash.
    • Ensure that sufficient funds are available for daily operations.
    • Support in the preparation of budgets and financial forecasts.
    • Track budget performance and provide variance analysis reports.
    •  

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  • Educational certificates and documents relating to work experience

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