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Job Description
- Prepare monthly financial statements balance sheet, profit and loss, by auditing the G/L and registering all end of month regularization.
- Responsible for general ledger, analysis, control and justification of accounts balances.
- Maintain, monitor and collect on various accounts receivable.
- Maintain bank accounts balance, and forecast disbursements.
- Oversee financial discrepancies investigations and internal audit findings, provide support and recommendations for the efficient resolution of cases
- Ensure records of all financial transactions are accurate and up-to-date.
- Cooperate with external auditors to carryout external auditing.
Job Requirements
- Accurate & detail-Oriented.
- Excellent organizational and time management skills
- Good with numbers and figures and an analytical acumen.
- Ability to research, compile, analyze and interpret data.
- Excellent knowledge of Microsoft Office (Word, PowerPoint, and Excel…etc.).