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Job Description
- Preparing the monthly profit and loss, and balance sheet reports
- Tax reporting and inventory processing
- Collecting and analysing data, which is then used in the preparation of weekly and monthly estimates
- Advising on estimates for project funding
- Creating KPI reports
- Preparing weekly cash flow statements, and controlling expenditure and cash flow
- Assisting with the preparation of year-end accounts and statutory accounts
- Responding to financial inquiries by gathering and interpreting data
- Conducting internal audits such as wage reviews
- Examining financial records to check for accuracy
- Managing and training stuff when necessary
Job Requirements
- An analytical mind
- Negotiation skills and the ability to develop strong working relations
- Commercial and business awareness
- Good communication skills – both written and verbal
- A keen eye for detail and desire to probe further into data
- Deadline-orientated and an ability to stick to time constraints
- Advanced Excel
- Experience from 1-2 Years