- Recording transactions: Recording daily financial transactions, debits (costs), and credits (income)
- Preparing reports: Producing financial statements, cash flow statements, reconciliation statements, and profit and loss statements for managers and supervisors
- Maintaining accounts: Maintaining accounts payable and receivable, and general ledgers
- Preparing bank deposits: Compiling data from cashiers, verifying receipts, and sending payments to the bank
- Assisting with payroll: Running payroll and submitting payroll taxes
- Generating invoices: Generating invoices for the company
- Maintaining compliance: Maintaining and filing documents for taxation compliance
- Managing pricing: Maintaining product information, including pricing, discounts, profit margins, and more
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