The Job:
- Prepare financial statements, budgets, forecast, cash flow and variance analysis.
- Prepare and monitor Cash Flows.
- Prepare tax filing and returns
- Perform and prepare year end closing accounts activities such as audit schedules
- Handle treasury operations like prepare payments via in-house treasury, interbank fund transfer, update any bank changes in banking system
- Handle daily accounting operations include account reconciliations
- Prepare and reconcile intercompany balances and transactions
- Verifying staff expenses and travel claims.
- Investigate and resolve any discrepancies or vacancies identified during the reconciliations
- Assist Finance Managers in other ad-hoc duties as assigned
The Requirements:
- Min Diploma Holder with min 5 Years of relevant working experience
- Proficient in MS office
SALARY: $3800 to $4,300
Interested applicants can send their detailed resumes to [email protected] or call JANE @ 6735 1955.
CEI: R1104482
Company Reg. No. 199601303W
EA Licence No.99C4599