Job Description
Monitor actual financial performance against approved budgets.
Prepare and present financial forecasts, including variance analysis, to support management decisions.
Prepare and file tax returns (PAYE).
Ensure compliance with financial regulations, statutory requirements, and company policies.
Prepare timely and accurate management reports to aid operational decision-making.
Assist in implementing efficiency improvements and cost control measures.
Maintain accurate, up-to-date financial records.
Manage accounts payable and receivable processes.
Ensure all financial transactions are properly documented (invoices, receipts, payments).
Process payroll for staff in compliance with local labour and tax laws.
Manage cash flow and banking transactions.
Reconcile bank statements and monitor fund availability.Monitor actual financial performance against approved budgets.
Prepare and present financial forecasts, including variance analysis, to support management decisions.
Prepare and file tax returns (PAYE).
Ensure compliance with financial regulations, statutory requirements, and company policies.
Prepare timely and accurate management reports to aid operational decision-making.
Assist in implementing efficiency improvements and cost control measures.
Maintain accurate, up-to-date financial records.
Manage accounts payable and receivable processes.
Ensure all financial transactions are properly documented (invoices, receipts, payments).
Process payroll for staff in compliance with local labour and tax laws.
Manage cash flow and banking transactions.
Reconcile bank statements and monitor fund availability.