Ensure accuracy of all data required for processing financial transactions to assigned accounts into the financial accounting package.
Manage all financial operations of our nonprofit project.
Ensure that all statutory deductions such as Withholding Tax (WHT) are promptly remitted to the relevant statutory authority monthly.
Cash/bank transactions, accounts receivable, accruals, prepare payrolls and payment of salaries.
Prepare bank reconciliation statements and resolution of any discrepancies on a weekly and monthly basis for smooth management of revenue for the organization and with the traffic department.
Work with the External Auditors to ensure a clean and timely year end audit.
Prepare and present monthly financial report.
Oversee the timely and regular payment of utility bills and tax levies.
General book-keeping and implementing on-going control of cash transactions. Records of prepaid assets.
Maintenance of Company cashflow and disbursement of petty cash.
Participate in the improvement of the accounting system and internal control.
Ensure compliance with financial regulations and standards.
Other tasks as may be assigned by the finance manager.
Qualifications
Interested candidates should possess a Bachelor’s Degree with 3 - 5 years experience.