Duties & Responsibilities
Manage company financial information effectively and efficiently.
Monthly reconciliation of balance sheet accounts.
Prepare complete Management Accounts (income statement and balance sheet).
Processing of Cash Books and allocating income and expenses.
Processing and review reconciliation of Accounts (Debtors, Creditors and Bank).
Assisting with Fixed Assets, asset management, and stock takes.
Posting Monthly Journals.
Petty Cash and Credit Card management and reconciliation.
Assist in Expense Analysis report against budgets.
Monthly VAT reconciliations and e-filing.
Assist with financial audits/year end audits.
Investigate financial discrepancies and irregularities.
Data management and processing.
Manage and issue purchase orders.
Daily customer invoicing.
Ad hoc duties as required.
Desired Experience & Qualification
Bachelor's degree in accounting or equivalent qualification.
6 years experience in the financial position.
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