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Job Description
- Accounting: Ensuring accuracy of financial data, including budget codes and inventory movement.
- Credit and Debtor Management: Reviewing creditor and debtor accounts and issuing debit notes.
- Auditing and Compliance: Collaborating with auditors and tax agents, addressing queries, and handling ad-hoc tasks.
- Journal Entries and Adjustments: Preparing and processing journal entries for various accounting transactions, including depreciation, fixed assets, interest, intercompany transactions, and accruals.
- Financial Reporting: Generating monthly financial reports, including balance sheets and income statements. Analysing and reconciling accounts to ensure accuracy.
- Cash Flow Management: Preparing and updating cash flow statements, reconciling cash and bank balances
- Fixed Asset Management: Maintaining detailed records of fixed assets, including depreciation schedules and asset lists.
- Audit and Tax Support: Assisting with financial audits and tax computations by providing necessary schedules and documentation.
- Other duties as may be assigned from time to time.
Job Requirements
- Holds Degree in Accounting/Finance or related field
- At least 3 years working experience in relevant area consist of fixed asset management and/or taxation
- At least 3 years working experience in handling full set of accounts
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