- Prepare journal entries to support complete and accurate financial reporting
- Ensure that the timing of all journal entries is within the relevant cut-off period.
- Prepare all Intra-company payments timely, ensuring that they are accurately recorded.
- Receipt all company funds timely.
- Prepare bank reconciliations, sub-ledger reconciliations, and other assigned account reconciliations.
- Monitor outstanding reconciling items, investigate discrepancies, and ensure issues are resolved or escalated in a timely manner.
- Ensure that all GL schedules reflect accounting transactions that are properly recorded, supported, and compliant with internal controls and company policies.
- Prepare all assigned audit schedules within the timeframe required and make all adjustments or corrections in a timely manner.
- Provide supporting documentation for internal and external audits.
- Take part in team developmental activities
- Contribute to policy and procedure development
- Support finance projects
- Comply with all HSSE policies, procedures, and safe-work practices.
KEY TECHNICAL COMPENTENCIES: - Strong understanding of accounting standards (IFRS) and financial reporting requirements.
- Preparation of GL reconciliations (bank, sub-ledgers).
- Understanding of audit processes, internal controls, and compliance frameworks.
- Ensures high accuracy and reliability of financial data entry.
- Skilled in Microsoft Office Suite (Word, Excel, PowerPoint) and other relevant software tools.
KEY JOB-SPECIFIC COMPENTENCIES: - Ensure financial data is accurate and complete. Maintains high standards of quality in all outputs.
- Prioritizes tasks and meets deadlines, particularly during reporting cycles. Able to work efficiently under pressure.
- Handles financial information with confidentiality and adheres to company policies, standards, and regulatory requirements.
- Takes ownership of tasks and ensures timely, accurate completion. Proactively raises issues and follows through on deliverables.
QUALIFICATIONS AND EXPERIENCE: - Bachelor’s Degree in Accounting or related field OR pursuing ACCA level II
- Minimum of three (3) years’ experience in an accounting or finance role
Pursuing ACCA Level II
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