The Company is seeking a meticulous and experienced Accountant to oversee and manage all financial activities of the organization. S/he will ensure financial stability, compliance, prompt remittance of government dues, and strategic planning to support the company’s dynamic event operations.
Key Responsibilities
Manage budget, variance analysis of the budget, reviewing and reconciliation of operational expenditure against budget sets.
Prepare reports such as income statements, statements of the financial position, cash flow statements, statutory ratios, and other management reports.
Manage cash and bank reconciliation as well as fixed asset register.
Computation and remittance of taxes and other statutory fees.
Liaising with the auditors and other relevant statutory and regulatory bodies.
Analyze and assess credit proposals
Prepare periodic statutory reports for regulators
Daily reviewing and monitoring of customer accounts to ascertain correctness, interest, and maturity dates, as well as ensure loan repayment.
Up-to-date monitoring to ensure income is captured.
Ensure compliance with drawdown, loan collateral documentation, and compliance with a facility term agreement.
Market survey to determine the marketability of assets and their realizable value.
Ensure risk targets are met.
Key Requirements:
First degree in Accounting or any related discipline
ACA/ACCA certification is highly desirable
3 year of experience in accounting, credit control, taxation, and account reconciliation
Knowledge of general accounting and control principle
Proficiency in the use of accounting software applications
Ability to interact and work with internal and external stakeholders