• Reporting Financial and relevant reports by monthly basis.• Prepare full set of accounts• Responsible for account team’s ground stocks taking quantities • Supervise daily cash in and out flow of cash books, petty cash book and cashier. Responsible in financial control, costing, budgeting & forecasting and monthly reporting• Review daily transactions (including advance request, payment vouchers and accounting entries) prepared by the accountants.• Monitor the day to day financial operations • Monitoring month-end and Year-end closing & audit issues.• Manage the preparation of the company's budget• Controlling income, Cash flow and expenditure • Prepare and on time delivery of Financial reporting and taxation.Understand and follow company rules and regulations• Perform a final check for payment & receipt vouchers.• Prepare debtor confirmation, creditor confirmation and bank reconciliation.• Analysis of financial transactions to determine accuracy. Procedures and generally accepted accounting standard.• Preparation of monthly/ quarterly / yearly closing.• Prepare Income statement and statement of financial position monthly, then report to the Management.• Must be able to accounting software
• Minimum 5 years of experiences in related field • Excellent computer skills, including Microsoft Office and any computerized accounting software• Exceptional organisational skills, communication skills and interpersonal skills.• Must have B. Com., CPA or Any Bachelor Degree with LCCI Level III and management accounting or equivalent ACCA Part II • Able to use Microsoft Office and Accounting Software well.• A good team player and can lead Senior and Junior accountant.
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