Job Description
To prepare financial reports as per the requirement of the company.
Key responsibilities & duties
Processing recommended journals.
Assist in Budget preparation and tailored reports on need basis.
Reconciliation of ledger accounts and maintaining audit file
Preparation of monthly financial reports.
Assist in audit activities external and internal.
Preparation of daily cash flow report.
Fixed Asset register update, maintenance and reconciliation.
Any other duties assigned in line with role
Position Specification
Must have a University Degree in Bachelor of Commerce specialized in Accounting or Banking and Finance.
CPA(K) / ACCA Qualification is a must.
At least 3 years’ experience working in the Finance department, 1 year must be in an Audit firm. Proven Audit work Experience required will be confirmed. (Working in Tier 1 and 2 Audit firm will be an added advantage)
Working experience in reporting and supervisory role is required.
Excellent diagnostic and problem-solving skills.
Outstanding organizational and time-management skills.
Ms Office suite Advanced skills (Excel) and Ms. Power BI
In depth understanding of diverse computer systems and networks.
Workingk nowledge in FX Hedging and Corporate tax matters.
Qualified applicants are encouraged to send their application letters and CVs indicating expected salary to careers@trustgro.com on or before the 8th October 2021..
Apply via :
careers@trustgro.com