JOB DESCRIPTION
• Manage daily transactions, including accounts payable/receivable, general ledger and bank reconciliations • Perform regular, detailed audits to ensure accuracy in financial documents, expenditures and investments • Forecast revenue and expenses • Develop budgets that meet the requirements of company departments • Create and present financial reports for meetings and investors • Work with the team to manage, budget, forecast and report the company’s financial status • Develop periodic financial statements for management, such as income statements and balance sheets • Assist with tax audits and tax returns • Direct internal and external audits to ensure compliance • Stay updated on industry legislation and regulatory guidelines • Ensure compliance with the law and company’s policies
Skills and Qualifications
• 2 years work experience • Solid knowledge of financial and accounting procedures • Experience using financial software • Advanced MS Excel skills • Knowledge of financial regulations • Excellent analytical and numerical skills • Sharp time management skills • Strong ethics, with an ability to manage confidential data • HND or higher
Location: Tema

All C.V. ‘s should be sent via:
indicating the position as the subject of the e - mail
Closing Date: 30 August, 2025
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