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Job Description
- Prepare and submit financial reports to the Finance Manager (Mina).
- Manage treasury operations and petty cash for emergency use only.
- Responsible for inventory control, including periodic stocktaking and reconciliation.
- Prepare journal entries, monthly closing, and financial reports.
- Ensure proper documentation, organization, and secure archiving of accounting records.
Job Requirements
- Proficiency in International Accounting Standards (IFRS / GAAP).
- Proficiency in accounting software (SAP, Oracle, QuickBooks, etc.).
- Excellent command of Excel and MS Office.
Strong financial data analysis skills












