Compile financial information to prepare monthly and annual financial statements.
Ensure accurate and timely monthly and year-end close.
Ensure financial records are maintained in compliance with accepted policies and procedures.
Ensure all financial reporting deadlines are met.
Assist in preparing financial management reports.
Establish and monitor the implementation and maintenance of accounting control procedures.
Resolve accounting discrepancies and irregularities.
Assist in continuous management and support of budget and forecast activities.
Develop and maintain financial databases.
Review and ensure accuracy of reconciliation activities for all company bank accounts; reconciliation actions should be taken periodically during the month and formally completed for each bank account at month-end.
Review customer, supplier, control account, and other balance sheet account reconciliation on a quarterly basis as determined by the Finance Manager.
Qualifications & Experience :
Bachelor Degree in Accounting.
5-6 years of previous accounting and finance experience.