This position is responsible for Managing account and financial activities in the organization.
Key business processes to be supported include:
Preparation of weekly Treasury Report.
Preparation of annual budget.
Budget review and analysis report.
Monthly Management Account
Maintaining monthly and bi-monthly variance analysis report
Preparation of annual audit schedules for audit use.
Coordinating statutory remittances Work in conjunction with Data and enrollment unit on prompt payment.
Provide input for associated business process improvement activities.
ACA would be an added advantage
Minimum of 3-4 years post graduate experience.
Advanced analytical skill
Good power point presentation skill
MS Office suite Excellent
Good written and verbal communication skills, with attention to detail.
Strong analytical and multi-tasking skills.
Energetic, highly self-motivated and able to work efficiently and productively.
Professional disposition and ability to maintain Integrity and confidentiality. Solution minded attitude.
Ability to work under little or no supervision.
Excellent Interpersonal Skills