- Developing budgets and financial reports
- Introducing data into our financial system
- monitor receivables, payables and collections
- Publish financial statements in time
- Handle monthly, quarterly and annual closings.
- Compute taxes and prepare tax returns.
- Manage balance sheets and profit/loss statements.
- Prepare and review annual budgets.
- Manage cash flow, bank transactions and transfers
- Renewing the company's financial statements to ensure they are accurate
- Tracking, reporting and analyzing budget vacancies on monthly basis
- Preparing month-end reports for management , including bank statements reconciliation , profit and loss statements, balance sheets, and cash flow statements.
- Recommending changes in policies or procedures to improve financial performance
- Ensuring compliance with government regulations and tax declarations
- Will be reporting directly to the Chief executive officer
Bachelor's degree in AccountingMinimum 2 years of experience in the accounting fieldExcellent Computer skills (Microsoft, advanced excel, software, networks, etc)Good command of spoken EnglishProven experience in financial managementAnalytical skillsStrong leadership qualities and skills