Candidate will be responsible for Accounting function of the Group.
Preparation of Bank Reconciliations, Checking Cash-Ups, Completeness of Income and recording of liabilities, Statement of Financial Position, Statement of Comprehensive Income.
Preparation of Cash Flow Statement, GL Control Accounts and Ledger Accounts, Consolidation, Fixed Asset Register.
Will be responsible for Scrutiny of Ledger Accounts and Reconciliation of Accounts.
Train and Develop all supervised staff.
Assist in developing and improving Internal Controls System, Budgets. Analysing and providing explanations for variances.
Timely submission of Monthly Management Accounts, Taxation and participate in Statutory Compliance
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