Roles
• Preparation of monthly financial statement
• Preparation of bank reconciliation
• Responsible for payable and receivable
• Preparation of annual budget and cash forecast for the period
• Preparation of cashflow for the period
• Supervise payroll preparation
• Preparation of cash book
• Maintaining fixed assets register
• Monthly review of trial balance for ensuring accuracy and completeness
• Handling of stock report
• Ensuring compliance with all statutory obligation
• Coordinate external audit and implementation of audit recommendation
• Undertake daily monitoring of entries into the general ledger and all system accounts to ensure accurate balances
Qualification Required & Experience
• BSc or BA in Accounting, Business, Finance or a related discipline
• MBA Finance / Accounting preferable
• CPA, ICA, ACCA membership requir...
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