To work for an organization which provides enthusiastic environment in which, we use our entire ability and capability towards organizational goals to meet todayacircs business requirements.
Key Responsibilities
In charge of managing and supporting the ledger team.
Providing accurate financial information to senior managers.
Identifying areas for cost cutting and improvement.
Preparing & Filling Annual Financial Statements.
Ensuring that all Financial Controls for the division are met ant adhered to at all times.
Giving advice, guidance and support on all financial matter to the Chief Financial Officer (CFO).
Operational Responsibilities
Preparation of monthly management accounts.
Monthly reconciliation of income statement and balance sheet accounts.
Monthly reconciliation of income statement and balance sheet accounts.
Month end analytical review to Senior Management on margin and variance analysis.
Preparation and posting of month end journals, including prepayments and accruals
Keep track of wired transfers and other journal transfers.
Tracking receivables and reconciling monthly accounts receivable.
To ensure company accounts are maintained to audit standard and act as a liaison with auditors.
Identifying and communicating findings for internal control weaknesses and deficiencies, non-compliance with regulations, policies and procedures and improvements in economies and efficiencies.
Preparation of statutory financial statements.