Job Descriptions
Oversee and ensure proper allocation of journal entries in the ledger
Support preparation of daily, weekly and monthly report of Balance Sheet, Profit & Loss and Cash Flow
Support monthly, quarterly, half-year, and year-end financial closes, including assigned journal entries, balance-sheet account reconciliations, accruals, and overall maintenance of operational management accounts.
Develop and implement accounting policies, procedures, and best practices to enhance efficiency, accuracy and internal controls
Train and mentor accounting staff, evaluate performance, and provide ongoing support and guidance for professional development
Collaborate with external auditors, regulatory agencies, and stakeholders to ensure transparency and accountability in financial matters
Prepare and analyze financial statements and other reports to provide Management with insights to the financial performance
Ensure accurate and timely recording of financial transactions and adherence to accounting standards and procedures
Conduct mid-level general-ledger account reconciliations, verify accuracy of data, and identify and correct errors.
Requirement
Preferably experienced in Banking or Multi-Finance / External auditor
Preferably from notable University
At least 2 years of working experience
Understand basic Accounting and MS Office functions