Search Results: 15 vacancies
...actual production costs.
• Identify cost-saving opportunities and recommend actions to management.
• Conduct regular inventory reconciliations and assist in inventory management.
• Collaborate with various departments to streamline processes and improve cost...
...general ledger payroll and utilities treasury, budgeting cash forecasting revenue and expenditure variance analysis capital assets reconciliations trust account statement reconciliations, check runs fixed asset activity debt activity
Establish and enforce proper...
...the day-to-day activities of the accounting team.
Actively participate in and responsible for month-end and year-end closing reconciliation activities.
Supervises and provides guidance to the Cost Accountants, Account Receivables and Account Payables Accountants....
...general ledger payroll and utilities treasury, budgeting cash forecasting revenue and expenditure variance analysis capital assets reconciliations trust account statement reconciliations, check runs fixed asset activity debt activity
Job Requirements
Skills:...
...Description
Record all AR transactions on daily basis on the System.
Prepare Electronic invoices on Portal.
Prepare bank reconciliations .
Prepare VAT and Withholding Reports.
Any other tasks assigned by the direct manager.
Job Requirements
Bachelor'...
...payroll and utilities
treasury, budgeting
cash forecasting
revenue and expenditure variance analysis
capital assets reconciliations
trust account statement reconciliations
check runs
fixed asset activity
debt activity
Monitor and analyze...
...Assistance with money, quarterly and annual reports of the company.
Treasury control and cash management.
Preparing Bank Reconciliation.
Writing checks, deposits, transfers, letters of credit & letters of guarantee.
Analyze bank fees, Commissions, recommend...
...recording of all financial transactions.
Update accounts receivable and issue invoices.
Update accounts payable and perform reconciliations.
Assist in the processing of balance sheets, income statements and other financial statements according to legal, accounting...
...financial guidelines.
Assist senior accountants in the preparation of monthly/yearly closings .
Accurately perform daily reconciliations of cash, check and credit card transactions, and tally and file invoices .
Comply with financial policies and regulations....
...the system in order to maintain a high level of information quality and accuracy.
Assist in the annual audit.
Reviewing reconciliation of payments and records in ERP.
Review and prepare inventory accounting adjustments for retail items sold in the stores....
...manage stock write-offs, and clean up the balances.
PPV extract and reporting and updating BOM.
Prepare monthly reviews and reconciliation of Inventory accounts.
Improve performance by evaluating processes to drive efficiencies.
Support the Finance manager...
...accounts during month-end at the company and divisional level within stipulated timelines.
Perform monthly and annual bank reconciliation.
Process all cash transactions related to deposits, withdrawals & foreign currency exchanges in line with business needs....
...authorized signatures.
Check Shipment & COD reports received from the respective success partner
Monitor banking transactions and reconciliation.
Maintain & supervise the work related to the company’s financial accounting & record keeping, general ledger, payroll,...
...dealing with a wide range of work, including:
Preparing statutory accounts and assisting with management accounts and month end reconciliation, including commentary
Preparing self assessment and corporation tax computation calculations and assisting with basic tax...
...company laws in the relevant countries business operate. These are to be made available as and when requested
Ensure all required reconciliations are prepared timely and as per policy
Requirements
Bachelor’s degree in Finance/Accounting is a must
Minimum 8...