Aug 10, 2018
Job Objective
To facilitate the execution of best practice financial management processes and maintain good relationships with local and international financial institutions, government agencies, consultants etc.
Duties & Responsibilities Financial Accounting & Treasury Management and Reporting:
Ensure Proper record keeping of all financial records for adequate reporting
Ensure all ledgers are reconciled and updated monthly (i.e. Creditors Ledger, Debtors Ledger, Prepayment Accounts, etc)
Ensure Monthly preparation of Bank Reconciliation Report
Develop and maintain credit control Policies and Processes
Manage cashflow and collections within the outlets
Ensure Monthly reconciliation of all outlets
Ensure Monthly business performance reporting (Profit & Loss Account, Balance Sheet, Cashflow Analysis, Sales Analysis, etc)
Manage Organization’s Tax matters
Safeguard all company’s assets
Monitor payment processes (Suppliers, Salaries, etc)
Prepare corporate Annual Budget and variance report
Ensure budgetary Analysis and control
Key Performance Indicators:
Operational Efficiency/Cost Management
Timeliness of completed quarterly financial reports
Quality and ease of retrieval of financial information
Minimum Education Qualifications
B.Sc. or HND in Accounting or related discipline;
Professional qualification (ACA, ACCA) is mandatory
Required Experience:
Minimum of 7 years’ cognate experience.
Required Competencies:
Knowledge
Accounting and Finance
Cost management
Taxation
Budgeting/Forecasting
Company operations
Management Accounting
Skills:
Execution
Communication skills
Problem solving skills
Proficient knowledge of Quick Book
Apply via :
Applicants should send their CV’s and Cover Letter to: hrexecutive@montaigneplace.com
https://www.myjobmag.com/job/99365/senior-accountant-montaigne-place