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1. To prepare timely and accurate periodic/ monthly management accounts and financial reports, which are to be submitted to the Accounts Manager (Finance/ Accounts) by the 2nd week of the following month. 2. To assist the maintenance of accurate and complete records of Purchases, Stock, Debtors, Bank Book and Inter-Company Balance ledgers. 3. To assist in the preparation of monthly strategic financial performance analysis to Senior Management with key performance indicators measurement and to highlight non-performance financial areas of the strategic business units. 4. To co-ordinate and oversee the processing of financial and cost accounting records that accurately reflect the transactions and its assets and liabilities of the Company. 5. To assist in the planning and monitoring the daily cash flows of the Company. 6. To check and report the daily bank balance of all bank accounts of the company 7. Working experience of at least 3 years in a trading company will be an added advantage
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