Responsibilities
Group Accounting:
Maintain financial records, including general ledger accounts.
Prepare and examine financial statements, ensuring accuracy and compliance with regulations.
Process accounts payable and receivable transactions.
Reconcile bank statements and resolve discrepancies.
Assist in the preparation of budgets and financial reports.
Handle tax-related tasks and ensure compliance with tax regulations.
Recording financial transactions and maintaining accurate ledgers.
Generating financial reports and statements.
Managing accounts payable and receivable.
Conducting regular reconciliations of accounts.
Assisting in the budgeting process.
Collaborating with auditors during financial audits.
Group Finance Management:
Oversee and manage the financial operations of the organization.
Develop financial strategies and plans to support business goals.
Analyse financial data and provide insights to support decision-making.
Monitor and interpret cash flows and predict future trends.
Manage financial risk and implement strategies for financial growth.
Coordinate the preparation of financial statements and reports.
Strategic financial planning to ensure the organization's financial health.
Analysis of financial data to provide recommendations for improvement.
Cash flow management and forecasting.
Implementation of financial policies and procedures.
Collaboration with other departments for budgeting and financial goals.
Presentation of financial reports to leadership and stakeholders.
Job Qualifications
Interested candidates should possess a Master`s Degree in any relevant field with 6-15 years work experience.