leader in their field, is looking for a Financial Accountant to join their successful team. The successful support in respect of general ledger (GL) accounts and assisting with the administration of all companies companies within the Group. You will assist with ad hoc requests from Senior Finance staff and prepare and provide reviewing cashbooks, and performing monthly bank account reconciliations for entities in the Group Preparing returns Requirements: B.Com degree with major in Accounting 3 - 5 years' experience in GL entries, cashbook
successful candidate will be responsible for month-end accounting and reporting processes, interim/year-end closing Responsibilities include: Month End: Preparing loan account reconciliations and product development cost calculations subsidiaries' management accounts Tax calculations Preparing Group consolidated management accounts Year-end Audit: in compliance with IFRS Assisting Group companies with technical accounting transactions and year-end packs Reviewing inter-group transactions and loan accounts Overseeing the reporting by Group companies (local
responsible for creating and maintaining debtor accounts, collecting all overdue monies on the debtor's book any remaining outstanding amounts, minimizing bad debt, and maintaining productive business relationships team of credit controllers and reporting to the Accounts Receivable Manager. Duties include: Ensuring all information to enable reviews Maintaining debtor accounts on the ERP system Sending out monthly statements addresses are kept updated Ensure collections: collecting overdue debts according to our credit policy.
invoices Attending to queries Reconciling supplier accounts Vendor payments Additional duties as designated skills in Excel Sound understanding of basic accounting principles Knowledge of related computer applications
performance for team members Ensuring accurate accounting and reporting in line with Angolan GAAP requirements in Finance, Accounting, or a related field Certified Accountant by the Board of Accountants (OCPCA) 4 years'
Preparing daily and monthly bank reconciliations Assisting with general admin and reconciliations such as monthly reporting on transactions to management Assist with daily customer queries Accurately reconciling
query resolution Maintaining accurate and reliable accounts payable age analysis General administration and