Supervising the Account Assistants to deliver business goals against timelines, whilst developing the team's ability.
Budget creation and analysis between budget and actual/estimated amounts on a monthly basis.
Verifying suppliers and merchant payments prepared by Accounts Assistants.
Assist with the completion of month end reporting as directed by Statutory and Tax Manager.
Cash flow management as there is no cash shortage and to use the cash strategically.
Be the key liaison between third parties and the finance teams such as: banks, accounting system vendors, accounting firms, tax consultants, auditors etc.
Ensuring reconciliation journals are posted accurately, investigating any anomalies while reviewing various schedules.
Participate in the preparation activities for financial audit / internal audit as required.
Providing support and induction to the new starter to make sure all the areas are covered during the handover processes.
Required Knowledge, Skills, and Abilities
Strong accounting skills and an understanding of accounting operations
Excellent people management skills and the ability to develop and maintain relationships internally and externally.
Ability to work independently and take initiative.
Actively pursues learning and self-development to enhance personal, professional and business growth, shares learning.