Job Description
Ensures effective, accurate and timely reporting to internal stakeholders. Support the management with financial analysis and intelligence in a proactive way. Provide real-time, accurate and timely financial and management accounting reports. Execution of financial related activities. Apply relevant policies, procedures and ensure compliance with internal controls.
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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