Please exercise due diligence when applying for this job vacancy.
Ensure general ledger, subsidiary ledgers, and other financial records and schedules are accurately maintained.
Institute policies and procedures capable of protecting the business resources against waste, fraud, and inefficiency.
Maintain procedures to establish tight control over cash transactions.
Ensure timely follow up of accounts receivable and payable.
Evaluates & implements internal and external audit recommendations & provides feedback to management on results
Implement budget and forecast preparation schedule by collecting relevant business data and projections from the line departments and provide relevant analyses and feedback to enable finalization of the budget and forecast proposals and all related reports including profit & loss, balance sheet and cash flow statements.
University degree in Accounting, Finance with professional certification
Minimum of 5 years work experience as an Accountant
Excellent analytical, organizational and project management skills
Excellent written and verbal communication skills
Solid Excel working knowledge