Job Summary


Responsible for recording and maintaining business financial transactions. Perform reconciliations to produce monthly or annual trial balances.


Duties And Responsibilities


 Record and maintain accurate records of financial transactions.
 Create and update general ledger accounts.
 Perform daily, weekly and monthly reconciliations for all transactions.
 Maintain records of all creditors and process payments to suppliers.
 Responsible for cash management that is float, petty cash and branch
cash up by reconciliations.
 Follow up on outstanding payments from clients.
 Comply with accounting standards (IFRS), and statutory regulations
and requirements.
 Analyses business transactions to advise on methods of minimizing

 Prepare bank reconciliations.
 Monitor and manage all expenses within allocated budgets.
 Assist in preparation of budgets and projections, and report on budget
 Submit reports to relevant authorities.

Qualifications And Experience


Qualifications and experience
• A degree in Accounting or equivalent. Minimum of 5 years’ experience in the similar position


How To Apply


• Interested candidates must send their CVs to

By Vincent

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