Shall ensure timely and accurate reporting of monthly management accounts, investigating variances, correcting errors where necessary and providing explanations on departures from budget.
Monitor all Balance Sheet reconciliations ensuring completion and adequate record
Keeping by all team members responsible. Co-ordinate daily,weekly and monthly cash flows, ensuring all information is collated and up to date, monitoring of accuracy and liaising with Group Financial Controller on requirement of funds required.
Contribute to the development of management information provided internally and externally.
Ensure that financial records are maintained in line with Company’s Financial Regulations and Standing Orders, and comply with current legislation.
A graduate with B.Sc in Accounting, 2-3years work experience and ICAN or ACCA is an added advantage