Responsibilities:
- Responsible for the full set of accounts e.g. AP/AR/GL
- Preparation & posting of journal entries, ensuring all transactions are properly supported with documentation.
- Preparation of monthly financial reporting pack.
- Compiling and submission of quarterly GST returns.
- Timely and accurate preparation of monthly balance sheet reconciliations & bank reconciliation as part of internal control to assess and mitigate balance sheet risk; identifies and follow up on areas of concern within the reconciliation, develops corrective action plans where needed and ensure accounts are in good standing.
- Liaision with external & internal auditors, preparation of audit documentations and financial statements.
- Collating information and preparation of schedules for annual corporate tax reporting.
- Maintenance of internal controls
- Assist with treasury matters as assigned such as preparation of banking documents, update of cash flow etc.
- Any other ad-hoc duties as assigned.
Requirements:
- Minimum Diploma in accounting or relevant education.
- At least 5 years of relevant working experience.
- Proficient in microsoft office (Excel, outlook & word)
- Independent and Initative
- Meticulous and committed
- Good communication skills