Job Description
Job Description
- Reconciling the company’s bank statements and bookkeeping ledgers
- Completing analysis of the employee expenditures
- Managing income and expenditure accounts
- Generating the company’s financial reports using income and expenditure data
- Keeping a check on the company’s finances based on financial status
- Filing and remitting taxes and other financial obligations
- Initiating and managing financial and accounting software used by the company
- Audit the operational job expenses and analyse the costs
- Prepare the weekly and monthly reports required by the management
- Coordinate with the company external auditors to complete the financial statement
- Keep record of the staff records and follow up on their residency renewals
- Keep record of the company licenses and follow up on renewals
Skills
- Bachelor’s degree holder with a proven track record of academic or work experience in the Finance sector.
- Apt in handling financial tasks like budgeting, planning, and calculating variance which reduces business expenses.
- Strong communication and negotiation skills in partnership management and inter-department coordination.
- A keen eye for minute details coupled with an instant ability to make sound decisions.
- Presenting an in-depth analysis of the company’s financial statements through concise reports.
- Ability to handle relevant software like Microsoft Suite for efficient preparation of reports and statements.