About this role
JOB RESPONSIBILITIES & TASKS Duties include but are not limited to • Control and maintain the integrity of the general accounts in compliance with the FCA and standard accounting practices. • Check the activities of the Cashier when needed for checks and balances. • Check the treasury activities including accounting for money transfers, bank charges and remittances to the Company, running accounts payable/payroll checks, responsibility for bank deposits, coordinating and arranging, processing and coordinating all wire transfers, telex payments; ensure integrity of these activities before submitting to Chief General Accountant. • Conduct audit to ensure that internal control procedures are well implemented recommend and follow up on corrective measures • Perform monthly banks and affiliates reconciliations and adjust irregularities • Maintain a monthly trial balance audit file to confirm all balance are accurate • Ensure proper filing and follow up on all subsidy applications and refunds • Prepare the monthly fixed asset acquisition report and relay it to Accounting manager for approval