Lead a team of finance executives, report to head of Finance
Handling for account monthly closing
Prepare and post journal entries in the accounting system and generate financial statements, including balance sheet schedules.
Provide month-end balance sheet schedules and provide financial analysis of monthly fluctuations between actual and budget
Perform monthly bank reconciliations.
Perform coding of accounts.
Prepare quarterly GST returns
Support on handling meeting minutes during Audit and Risk Management Committee and Investment Committee meetings.
Participate in the annual budget exercise, to furnish templates with historical financials and consolidate submissions by Head of Departments.
Job Requirements:
Degree in Accountancy and CPA / CA qualification
At least 10 years of relevant experience
Possesses good communications skills
Experienced in Handling full sets of accounts
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