Description:
The ideal candidate should be fluent in English , friendly user of ERP systems and can handle the following tasks:
General Accounting: Ensure timely and accurate recording of financial transactions in accordance with
IFRS and company policies.
Oversee the general ledger to ensure proper classification and reconciliation of accounts.
Review and approve journal entries prepared by junior accountants.
Financial Reporting: Assist in the preparation of monthly, quarterly, and annual financial statements.
Prepare variance analyses and explain deviations from budget or forecast.
Support the Group Finance Manager in consolidating financial reports across subsidiaries or
departments.
Budgeting and Forecasting: Participate in the preparation of budgets and forecasts.
Monitor actual financial performance against the budget and provide insights for improvement.
Taxation and Compliance: Ensure compliance with local tax regulations, including VAT, withholding tax,
and corporate tax filings.
Liaise with auditors, tax consultants, and regulatory authorities as needed.
Cash Flow Management: Monitor and manage cash flow to ensure liquidity and optimal working capital.
Prepare cash flow forecasts and recommend actions to maintain financial stability.
Process Improvement: Identify and implement process improvements to enhance efficiency and
accuracy in financial reporting.
Assist in the development and implementation of internal controls and financial policies.
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