To maintain clean and reconciled controls account and general ledger by ensuring all postings are properly, correctly and consistently coded to be relevant
To submit an analysed monthly PAT, Budget, forecast as per deadline set by the management
To be able to prepare analytical and detailed review of income statement, highlighting major variances supported by relevant comments
To input financial data on the system on a monthly basis
To reconcile the balance sheet and analyse any variances from the budget
To ensure strict adherence to the company’s policies
To monitor transaction daily to ensure data integrity
To manage the end of month closure process and ensure GL related policies and controls are adhered to
To communicate and timely submissions all returns to authorities and government bodies
To ensure proper controls of cash collection, monthly reconciliations of Bank, Debtors and Creditors
Any other duties that may be assigned to you by the management
CANDIDATE PROFILE
Minimum ACCA Level 2 or equivalent
At least 3-5 years’ experience needed
Strong analytical, interpersonal and organisational skills
Good time Management
Excellent level of spoken and written French and English
Ability to work under pressure and meet tight deadlines
Able to work both independently as well as a member of a team