Key Responsibilities
Perform Monthly Reconciliation of organizational Bank Accounts, Accounts Payable, Accounts Receivable and Prepayment Accounts.
Assist in the preparation of Quarterly Financial Statements for Funders
Maintenance of Fixed Assets Register (cost, additions, disposals, depreciation) ,
Posting and processing journal entries to ensure all financial transactions are recorded
Qualifications & Requirements
Mandatory Requirements:
B.Sc Degree in Accounting / Finance
Minimum 1(One) year Audit and/or Finance work experience
Proficiency in the use of Microsoft Office & QuickBooks Accounting Software
Other Requirements:
Highly organized with keen attention to detail
Ability to deal with confidential information in a discreet manner
High level personal integrity and honesty
Ability to work well under pressure and within deadline.