Participate in the preparation of Annual Budget and Implementation of Budget Control
Ensure compliance with Rayuwa Farm’s financial management requirements
Update relevant account books, journals and records on a daily basis
Carryout daily reconciliation of outbound and internal farm sales with sales representatives and cashiers
Generate corporate clients receipts and update their ledgers accordingly
Assist Accountant 1 in following up with corporate clients on payments of all outstanding debts and report to the Farm manager weekly on the exercise
Carryout cash lodgements to designated banks operated by the farm and file the tellers appropriately
Manage the farm petty cash funds and ensure that funds are disbursed only with proper authority being obtained and where applicable, quoted on the petty cash voucher
Recommend cost reducing measures
Protect the company’s value by keeping information confidential.
Support all internal and external audit processes to ensure compliance
Participate in financial standards setting and in forecast process.