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Perform all accounting functions including maintenance of Purchases and Payables Module, Sales and Accounts Receivable Module, Bank Transactions, Bank Reconciliations, Preparation of VAT Returns, Quarterly Taxes, Financial Reports, Cash Flows, Budgets, Import Costing, Inventory Control and any other accounting functions that may be necessary for the operations.
Employment Type
Full-time
Duties
Preparation of monthly Financial Statements for Directors, Management and the Bank.
General Ledger reconciliations.
Bank reconciliations.
Cash Flow Statements
Finalizing accounts in preparation for the audit.
Preparation and Review/Adjustment of Annual Budget and Cash Flow.
Formulating new policies, procedures to make the Accounts Department run more efficiently.
Formulating new spreadsheets/formulas to make the Accounts Department run more efficiently.
Submission of monthly Claims on existing Projects.
Updating “Work in Progress” on a weekly basis.
Assisting the Auditors.
Overseeing Accounting Staff.
Working with fellow staff to deal with Creditors, Debtors, etc.
Dealing with our Bankers, Creditors and Debtors on a regular basis
Assisting in the preparation of Executive Summary Statements for the Board of Directors
We accept MS Word, PDF and Rich Text Format. Maximum file size 2MB
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Accountant
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