Job Description
The project is for 6 months and will be based in the office
The suitable candidate will be responsible for maintaining and reconciling accounts of AP local, G&A, M&S, cash, accruals, provisions and fixed assets on monthly basis to ensure the accuracy of all trial balance accounts related. Preparing monthly actual financial statements (BS & PL) as well as related analysis to be reported to NMEG finance heads. In addition to manage the internal and external audit requirements.
Responsibilities:
- Review, control and follow up AP local, G&A, M&S, cash, accruals, provisions and fixed assets GL analysis and confirm accounts balances and reconciliations.
- Report all provisions and accruals after review & validate with internal management to be reported to AMIO accounting head.
- Review prepaid expense accounts and process monthly amortization in GL and confirm balances.
- Review and validate local supp...
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