The candidate will be responsible for the accuracy of the transactions posted to the general ledger of each entity assigned, as well as ensuring integrity and timeliness in financial reporting.
· ACCA Level II Qualifications or equivalent
· Minimum of three (3) years of experience in a similar role
· Proven knowledge of IFRS
· Excellent verbal and written communication skills
· Review Trial Balance and prepare monthly financial schedules to support balances on the Balance Sheet
· Prepare monthly reconciliations to include, inter alia, bank, VAT, intercompany and sub-ledgers
· Prepare journal entries for review and approval
· Review and approve journal entries prepared by support staff
· Prepare audit schedules as required for the external audit
· Review VAT returns
· Prepare ad-hoc reports as required
· Support the ongoing improvement in accounting systems, internal controls, and financial management policies
· Collaborate with other Finance and Operational personnel to ensure accuracy and timeliness in deliverables
· Provide Analysis and Reports on Project Performance
· Oversee the Accounts Receivables and Accounts Payables subledgers