Job Description

  • Summarize and prepare financial status and transactions reports, including a profit and loss statement, and other necessary reports.
  • Prepare full set of accounts such as balance sheet, Profit and Loss and ensure timely month end closing for management reporting.
  • Verifying, allocating, posting, and reconciling accounts payable and receivable.
  • Produce error-free accounting reports and present their results.
  • Analyze financial information and summarize financial status.
  • Prepare Bank Reconciliations and monitor daily cash flow.
  • Liaise with government officials, bank officials and other local authorities for related matters.
  • Prepare monthly budget reports and fund utilization reports.
  • Co-ordinate with corporate office for opex funds based on submission of monthly opex budget reports.
  • Manage Junior accountants and guide them in daily routine work.
  • Monthly SSB, PIT returns submission and calculations.
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