accounts and ensuring accuracy of the accounting records, Assisting with allocations of income and expenses expenses in the ledger accounts, Assisting with inter-group transactions and postings, Assisting with inter-group inter-group loan account transactions, Assisting with all statutory company requirements, Assisting with procedures, Drafting of management accounts and financial statements, Assist in the compiling of reports and the company policies, Assist in accounting system processing, Assist with training and mentoring of the
accounts and ensuring accuracy of the accounting records, Assisting with allocations of income and expenses expenses in the ledger accounts, Assisting with inter-group transactions and postings, Assisting with inter-group inter-group loan account transactions, Assisting with all statutory company requirements, Assisting with procedures, Drafting of management accounts and financial statements, Assist in the compiling of reports and the company policies, Assist in accounting system processing, Assist with training and mentoring of the
Preparation of Reconciliations – all B/S accounts Assisting with Creditors payments / reconciliations with preparation of management accounts and regulatory reporting Assistance with year-end preparation Preparation
Preparation of Reconciliations – all B/S accounts Assisting with Creditors payments / reconciliations with preparation of management accounts and regulatory reporting Assistance with year-end preparation Preparation
shareholders. ● Reconcile loan accounts with companies on a quarterly basis. ● Assist the team in preparing and statements. ● Reconciliation of share register to accounts. ● Assist with performing valuations of investments
processed accordingly. Internal Operational Accountabilities: Assisting the manager with the preparation of the
procedures. Participate in finance and accounting projects Assist Group Finance function where needs be
recording financial transactions, reconciling accounts, and assisting in the preparation of financial statements and analysing account information.
Financial Reporting:
the Group Financial Manager to address accounting queries. Assist in the preparation of weekly and monthly
the Group Financial Manager to address accounting queries. Assist in the preparation of weekly and monthly