Manage month-end, quarter-end and year-end closing.
Quarterly balance sheet
Sorting out incoming and outgoing daily post and answering any queries.
Transactions and reconciliations including foreign currency accounting.
Ensure accuracy of financial statements and compliance to internal policies.
Manage Fixed Assets.
Monthly balance sheet & bank accounts reconciliations.
Review of staff advances and other payments.
Preparing statutory accounts.
Calculating and checking to make sure payments, amounts and records are correct.
Managing petty cash transactions.
Controlling credit and debt.
Consolidate monthly financial reports to provide to finance manager with timely reports on financial health, including revenue/expenditure reports, expense reports and budget variance reports, among others
Job Requirement
Bachelor’s degree in Accounting
5 years of work experience in an accounting role, preferably in a manufacturing environment
Good oral and written English communication skills;
Good interpersonal, planning and organization skills;
Demonstrated attention to details;
Strong knowledge of MS Office applications.
Strong reconciliation and reporting skills
Knowledge of local Tax law & accounting software’s