Prepare comprehensive financial statements and management reports within established deadlines.
Oversee Accounts Receivable and Accounts Payable functions.
Prepare bank reconciliation reports.
Conduct cash flow planning and forecasting.
Perform monthly reviews of the general ledger.
Ensure timely submission of Sales and Services Tax (SST) and Withholding Tax (WHT).
Prepare schedules for balance sheet audits.
Maintain accurate accounting records and filing systems.
Provide guidance, advice, and support to direct reports.
Prepare audit and tax schedules for annual audits and tax filings.
Liaise with tax agents, auditors, bankers, and company secretaries.
Requirements: