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Compile and analyze financial information to prepare financial statements including monthly and annual accounts.
Ensure compliance with financial records in accordance with accepted policies and procedures.
Ensure compliance with all financial reporting deadlines.
Preparing financial management reports.
Ensure accurate and efficient closing of the months, quarter and year.
You will be responsible for handling cash, preparing cash report, cash deposit slip, and goods receipt note.
All bank balances, handle bank accounts, check and verify all bank charges.
Adherence to the quality management system, occupational safety and health as described in the International Standard Guide (ISO) and relevant procedures and instructions.
Any other tasks that can be assigned to you
Full Time