Job Description

Responsibilities

  • Manage and prepare full set of accounts including monthly reconciliations and management reports
  • Ensure monthly financial statements are accurately prepared on a timely basis and adhere to appropriate accounting standards
  • Preparation and monitoring of cash flows and banking facilities as well as performing bank reconciliations
  • Responsible for any other ad‑hoc reports and functions as and when assigned by management
  • Handle treasury function and cash flow management
  • Assist…

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