Data Entry and Record Keeping: Accurately enter financial data into accounting software and maintain organized financial records.
Bank Reconciliation: Perform regular bank reconciliations to ensure accurate cash records.
Accounts Payable and Receivable: Assist in processing invoices, payments, and receipts, ensuring that all transactions are recorded accurately and in a timely manner.
Financial Reporting: Support the preparation of monthly financial statements, management reports, and variance analyses.
Expense Tracking: Monitor and record company expenses, ensuring compliance with budgetary guidelines.
Inventory Accounting: Assist in tracking and reconciling inventory records with accounting data.
Assistance in Audits: Provide support during internal and external audits by preparing necessary documentation and responding to audit queries.
Regulatory Compliance: Assist in ensuring the company complies with local tax regulations and financial reporting standards.
General Ledger: Support the maintenance of the general ledger by posting journal entries and reconciling accounts.
Support to Senior Accountant: Provide additional support to the Senior Accountant as required, including special projects and ad-hoc analysis.
Software Utilization: Utilize accounting software and IT tools effectively to streamline accounting processes and improve financial reporting accuracy.
Requirements
Interested candidates should possess a B.Sc Degree in a relevant field with 2 years of experience.