Prepare monthly, quarterly and annual financial reports
Reconcile bank statements
Participate in financial audits
Track bank deposits and payments
Assist with budget preparation
Review and implement financial policies
Keep accurate records for all daily transactions
Prepare balance sheets
Process invoices
Record accounts payable and accounts receivable
Update internal systems with financial data
Requirements
First Degree in Accountancy / Finance, Business Administration, or related field
At least 5 years relevant work experience in an Account Executive position or any similar role within a structured organization
Proven experience preparing budgets, management reports, balance sheets and other accounts related documents
Prior experience auditing financial documents, reconciling bank statements, and calculating tax payments and returns
Experience liaising with external parties i.e. regulatory bodies, vendors, suppliers, bank personnel, etc.to derive value for the organization.
Ability to provide accurate quantitative information on the company's financial position, liquidity and cash flows for the business while ensuring compliance with all statutory regulations.