Job Description
-Handle daily finance activities
-Preparing and reporting periodic sales reports
-Preparing periodic financial statements, including profit and loss accounts, budgets, cash flows, variance analysis and commentaries
-To ensure the proper keeping of Company's accounting records of supplier invoices and advance requests according to the Company Policies & Procedures and local tax requirements
-Compute taxes owed and prepare tax returns, ensuring compliance with payment, reporting or other tax requirements
-Develop, maintain, and analyze accounts, preparing periodic reports that compare budgeted costs to actual costs
-Customer and suppliers credit monitoring
-Process payroll, ensuring employee salary records are up to date & all contractual/legislative requirements are met
-Assist with daily and monthly Treasury tasks
-Reporting to: Financial Manager