Job Description
Gather and monitor financial data (e.g. sales revenues and liabilities)
Prepare monthly, quarterly and annual statements (balance sheets and income statements)
Forecast costs and revenues
Manage tax payments
Organize internal audits
Prepare budgets (for the entire company and by department)
Monitor and report on accounting discrepancies
Conduct detailed risk analyses to assess potential investments
Analyze financial trends
Perform month-end and year-end close processes
Qualifications
A degree in Accounting/Finance and MBA is preferable
Preferred Industry background – Retail/FMCG/Oil & Gas
Experience – A minimum of 5 Years
Qualification – ACA, ACCA, or CIMA qualified.
Skillset
IFRS application, Reconciliations
Considerable exposure to ERPs
Transactions Review & Routine Financial Reporting
Fixed assets management
Cash flow reporting
Banking relations
Management of monthly book close in line with committed timelines
Periodic control reviews
Revaluation of foreign currency-denominated balances
Oversight on transactions management (AP, AR, GL, treasury)
Operations and commercial literacy.
Detail and process-oriented.
Ability to manage multiple projects and meet deadlines under pressure.
Self-starter with a strong sense of urgency and follow-up skills
Apply via :
jobs.smartrecruiters.com