Job Description
Main responsibilities:
-Preparation of monthly financial reports covering balance sheet, profit and loss, internal management reports and cash flow statements.
-Managing the general ledger including overseeing the monthly balance sheet, banking and inter-company reconciliations.
-Assisting in the preparation of year end statutory accounts.
-Ensuring Accounting standards and policies are adhered to.
-Supervision of any Accounts Payable and Accounts Receivable staff.
-Liaison with external Auditors, Bank Managers and Tax specialists.
-Assisting in process improvement and systems enhancement initiatives.
-Proactively identify new initiatives that could benefit the organisation.