Key responsibilities
- Prepare and analyze complex financial reports statements and records.
- Oversee and coordinate financial transactions including accounts payable accounts receivable and general ledger activities.
- Conduct account reconciliations and ensure accuracy and completeness of financial data.
- Partner with internal teams to support budgeting and forecasting processes.
- Ensure compliance with accounting standards regulatory requirements and tax laws.
- Assist in the development and implementation of internal controls and financial policies.
- Participate in the annual audit process and provide necessary documentation and support.
- Conduct financial analysis to identify trends variances and opportunities for improvement.
- Collaborate with crossfunctional teams to streamline financial processes and enhance efficiencies.
- Support the management in special financial projects and initiatives.
- Assist in the preparation of tax filings and ensure tax compliance.
- Stay updated on changes in accounting standards and regulations and recommend necessary adjustments.
- Communicate financial information effectively to stakeholders providing insights and recommendations.
- Mentor and train junior staff providing guidance on accounting principles and best practices.
Required qualifications
- Bachelors degree in Accounting Finance or related field;
- Proven work experience 5 years Accountant or similar role preferably in a corporate setting.
- knowledge of letter of credit banking import export billing
- Proficiency in financial software and advanced MS Excel skills.
- Knowledge of internal controls auditing processes and risk management.
- proactive and selfmotivated with a commitment to continuous improvement.
- Problemsolving orientation and a resultsdriven mindset.
- Adaptability to change and willingness to take on new challenges.
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