More Jobs In Accounting and Banking
Accounting and Banking
•Prepare monthly, quarterly, and annual statements to identify results and trends.
•Manage and coordinate compliance with local, state, and federal government reporting requirements and tax filings in the different jurisdictions in which we have operations.
•Collaborate with auditing services to ensure proper compliance with all regulations.
•Coordinate and direct the preparation of the budget and financial forecasts and report variances.
•Responding to financial inquiries by gathering and interpreting data.
•Examining financial records to check for accuracy.
•Manage accounts receivable and accounts payable as well as the preparation and posting of receipts, deposits, purchase orders, invoices, refunds, and other standard bookkeeping tasks.
•Provide oversight to the Admin function in line with petty cash disbursements, replenishment and counts. Review and oversee reimbursements.
•Coordinate the preparation, tracking, and reconciliation of ledgers, budgets and financial plans.
•Coordinate the payroll preparation process.
•Report on financial projections (e.g. liquidity and cash flow)
•Support month-end and year-end close processes.
• 5+ years of overall combined accounting and finance experience.
• Exposure to finance issues in multiple jurisdictions. Experience with Group accounting and cross border transactions.
•2+ years in similar business activities (e.g., Trading / Electricity Trading).
•Thorough knowledge of accounting regulations, principles, and procedures.
•BSc degree in Commerce, Accounting, Finance, Statistics, Economics, or relevant field
•Additional certification (e.g., ACCA, CA or CPA) is preferred. Interested applicants should sent their cv to :