
Bankprofile
Responsibilities
Prepare monthly financial statements by collecting data;
analysing and investigating variances;
summarizing data, information and trends.
Prepare year-end and statutory accounts
Implements adequate high standards of financial controls and checks that they are being effectively utilised in the business.
Provide financial advice by studying operational issues, applying financial principles & practices and developing recommendations.
Reconciles financial discrepancies by collecting and analysing general ledger account information.
Manage the general ledger including overseeing the monthly balance sheet, banking and inter-company reconciliations, performing month end closing activities such as account reconciliation, revenue accounting, expense accounting.
Develop a budget tracking mechanism which compares with actual expenditure to ensure that it is always within approved limits.
Review creditors` reconciliations and ensures that reconciling items are processed and are never more than a month old.
Updates the assets register on a monthly basis in accordance with the accounting policies.
Suggest changes to the accounting policy in line with the group policy and latest IFRS.
Liaises with external auditors and assists with management of the audit process from start to finish.
Maintain overall responsibility for preparations all monthly control account reconciliations and putting together the audit file.
Analyse business operations, financial commitments, costs, revenues, and trends to develop projections for future revenue and expenses.
Qualifications
Accounting degree.
Studying towards a professional qualification such as CA, ACCA etc.
At least 2 years working experience in a similar position.
Good interpersonal and communication skills.
TO APPLY
Interested candidates to send CVs to [email protected]