Job Description Providing complete, accurate and timely financial information / records for the finalization of the financial statements.
Reviewing LPOs and ensuring that all the documents comply with the company’s internal policies and procedures. Monitoring and processing all insurance policies (both new and renewal of existing policies) for the area(s) within scope of responsibility.
Liaising within finance department and with other departments in matters related to books of accounts closure activities Performing month-end, quarter-end and year-end financial closing activities and reconciliations thereof in order to generate concise and standardized accounting statements.
Performing financial reconciliation of specific accounts (i.e. accrual expenses prepayments, provisions, GRIRs, advances, right of use assets, lease liabilities etc.
to ensure adequacy and accuracy of all financial data. Reviewing, analyzing and confirming the financial transactional data of the area(s) within the scope of responsibility on monthly basis.
Analyzing accounting information and prepare management reports. Analyzing transactional processes and identify areas where additional accuracies and efficiencies can be achieved Performing other related duties or assignments as directed by line Manager.
Following documentation retention policy to maintain accounting files Preparing financial models and business plans and proposals for utility projects and evaluating investment opportunities.
Installation & Technical Services; Hardware & Building Materials Company TypeEmployer (Private Sector) Job RoleAccounting / Banking / Finance Employment StatusFull time Preferred Candidate Career LevelMid Career