Overseeing the company’s accounting activities ensuring accuracy and compliance with financial regulations and standards. This role involves managing financial reporting, budgeting, and internal controls.
Job Responsibilities
Enter and manage data (cash, bank, payables, receivables, payroll, etc.).
Process and verify supplier payments and vouchers.
Manage expense accruals and track receivables.
Handle bank accounts (such as transactions, fund transfers).
Prepare bank reconciliations and manage payments.
Prepare monthly and annual financial statements.
Maintain trial balances and monitor budget vs. actual expenses.
File regulatory returns and ensure compliance with policies and legislation.