• Perform full set of accounts and ensure timely closing of accounts
• Responsible to give in timely, monthly consolidated financial statements, payments, cash-flow management reports.
• Review & approve payments
• Ensure that all necessary documents are requested, collected, and compiled
• Prepare and analyze accounting records, financial statements, or other management reports.
• Produce daily and monthly cash flows comparing budgeted costs to actual costs as well as predicting future revenues and financial commitments to plan ahead and prepare accordingly.
• Develop, maintain and analyze cost accounting and other financial reports that lead to recommendations which will in turn help modify and improve business operations, revenues, and expenses.
• Responsible for all aspects of company tax compliance.
• Liaise with internal and external auditors and complete statutory accounts.
• Coordination with other finance managers within the same group to implement contractual obligations and ensure timely settlement of accounts.
Requirements
• At least Bachelor’s degree in Accounting or Finance
• at least 4 years of experience in the financial field. (minimum one year as a financial manager is needed)
• Strong, professional communication and management accounting skills
• Consistent, accurate, and thorough with an eye for details
• Result oriented and able to work under pressure to meet deadlines
• Strong knowledge in excel and local accounting packages e.g., PAYA accounting software, etc.
• Ability to multi-task, meet deadlines and work under pressure
• High level of familiarity with SSO, VAT, and Tax regulations
• Expert in warehouse financial workflow and concerning details