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Job Description
- Creation of Revenue, Expenditure, Cash, PP&E, Payrolls’ internal controls and accounting cycles.
- Collecting data to produce a working trail balance.
- Producing of monthly P&L, Balance sheet, Cash flow, O. Equity statements with disclosures.
- Preparation and Compilation of Financial statements and present it to investors.
- Maintaining Value-added taxes, withholding taxes, income taxes, social security payment.
- Provide analytical, forecasting, reporting, and project support to senior management.
- Produce monthly reports, which include key metrics, financial results and variance reporting.
- Perform business analysis and report it to management to ensure going according to strategic plan.
- Maintaining shares of partners based on the agreement of partnership.
- Implementation of IFRS 16 & 9 For the company retroactively.
- Supervising three members of the accounting staff to accomplish their duties efficiently.
Job Requirements
- At least 3 years exp
- CPA is must