The ideal candidate is responsible for the coordination and execution of account reconciliations, budget compilation, and back-up to the accounts payable function.
Responsibilities
· To file all accounting documents properly
· To file and submit tax returns, PAYE, SDL, and any other taxes in timely manner
· To be the main contact with TRA and making sure are up to date with the regulations
· To properly record and file all payments and receipts to the appropriate ledgers
· To follow-up outstanding payments
· To maintain the company chart of accounts
· To maintain accurate registers for debtors
· To prepare weekly bank reconciliation
· To prepare reports on revenue, expenditure and returns
· To prepare monthly P&L, Cash flow statement and Balance sheet snapshot
· To maintain staff records, prepare monthly payroll and pay-slips for staff
· To coordinate month end finance meetings for reporting the books and performance to the Board Members.
· To manage the Finance Officers and delegate the work appropriately
· Prepare year-end financial statements
· To perform any other related duties as may be assigned by the Managing Directors · Prepare BOT reports
Qualifications
- A Certified Public Accountant – CPA / CIMA or ACCA
- Holder of bachelor’s degree/Advanced Diploma in accountancy or related field from a recognised Institutions.
- Must have a working experience of not less than five years in the related field.
- Experience in using Excel, Outlook, and accounting software.