Accomplish objectives and work well without supervision.
Strong analytical, and prioritization skills.
Sound understanding of internal controls related financial/management reporting.
Excellent problem-solving skills and exceptional commitment to results and performance.
Responsibilities
Job Description
Preparation of monthly, quarterly, annual financial reports and necessary packs as required by the business
Maintaining the fixed asset register
Substantiation of the General ledger
Coordination of internal and external audits
Coordinating departmental expense projections, accurate preparation of business plans and monthly forecast in line with set strategies.
Presentation of financial performance in various forums.
Carrying out detailed analysis of the various expense drivers to help management in identifying cost saving and ensuring that expenses are maintained within the budget.
Review completeness and accuracy of Investment income schedule and booking of the investment income journal entries in the GL
Coordinating purchase, creation and liquidation of treasury bonds under lien whilst ensuring compliance to the set threshold by regulator.
Ensuring financial data are timely and correctly booked into the finance system by conducting a trial balance (TB) review.
Coordinating Finance month end closure activities whilst ensuring adherence with specified timelines
Preparation of monthly, quarterly and annual statutory returns and any other reports as requested by the regulator