Responsibilities: Responsible for all accounting matters for group of companies Look at day to day accounts, debtors/creditors management (checking for bank charges for trade transactions) Maintain/Review of balance sheet, updating fixed assets register, creating systems & contracts to ensure Operations are streamlined. Reconciliation of supplier/buyers Accounts, monitor of banking facilities Oversee Shipping & Trade documentations for Operations Department To upkeep systems and contracts to ensure operations are streamlined MIS Reporting Accounts reconciliation Liaison with tax agents/auditors/bankers relating to Trade finance & facilities Liaison with bankers relating to Trade finance and facilities To assist and handle Trade Documents Other ad-hoc dutiesRequirements: CPA, ACCA or Degree in Accounting Proficiency in MS Office Applications Working knowledge in Accounting Software (Tally) Preferably with 5 - 7 years of relevant working experience Self-motivated, able to multi-task and meticulous with an eye for detail Able to work independently and meet tight deadlines Team player with good communication, strong initiative and good interpersonal skillsJob Types: Full-time, PermanentSalary: $4,000.00 - $4,500.00 per monthSchedule:
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