Torecord all account transactions (payable & receivable) in a timely andaccurate manner in compliance with the Group’s financial policies, processesand controls.
- Reconcile the payables and receivables accounts forthe respective company in an accurate and timely manner ensuring compliance toapplicable accounting standards and financial controls
- Handle all bookkeeping activities for therespective company to ensure transactional records are maintained in anaccurate and up-to-date manner
- Identify and resolve any discrepancies in financialrecords and escalate any complex issues to ensure the necessary correctiveaction can be taken in time
- Prepare the month-end/year-end closing for companyaccounts as directed Â
- Generate financial statements and financial reportsto accurately reflect the status of company accounts
- Handle billing/invoicing in line with contractualagreements and handle any related inquiries as per company policy
- Assist in following up on all outstandingcollections to recover any overdue monies
- Validate any payments requests against approved budgetsand where necessary escalate adhoc requests as per company policy Â
- Provide inputs to facilitate internal and externalaudits as required
- Maintain all financial documentation in an organised manner for ease ofreference and retrieval
Requirements
- Bachelor’s degree in Accounting, Finance or arelevant discipline
- 5-6 years experienceÂ
- Experience with pure accountant background (not tax or audit) must have experience as an accountantÂ
- Preferably CAÂ
- Real estate experience and background preferredÂ
- Male preferredÂ
- Local experience preferredÂ
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