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Job Description: Review system journal entries, schedules, General Ledgers, Trial Balance for accuracy and finalization of Financial Statements while ensuring IFRS/IAS compliance. Identify and assess risks associated with various business operations, ensuring that risk management practices are in placed to review & rectify previous entries. Review banking system and ensure operation fund requests are being handled with accuracy, with entries maintained for Intercompany transactions. Analyse and finalize monthly & annual Financial Statements & Management reports. Review of Accounts Receivables, Payables, working capital management and other reconciliations.
Key Job Requirements: