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Assistant Manager AccountsJan 2015
Consolidated financial statements. Lease financing, mark-up on loan and facilities from banking institutions. Maintaining a payroll of 100+ employees. Execution of full cycle (monthly; quarterly; annually) accounting processes. Performing budget to actual analysis and variance analysis against prior periods. Annual budgets and forecasting of cash flows. Ensuring adequate policies, procedures and internal controls are in place. Implementation of standardized IFRS guidelines.
Accounts ExecutiveJan 2014 - Jan 2015 (1 year)
Filing for monthly and annual statutory returns. Preparing and maintaining a complete record of invoices sent and received. Monitoring and interpreting cash flows and predicting future trends. Preparing bank reconciliations statements. Monitoring of Business Plans, Budget Reviews and Annual Financial Statements. Assist in Monthly Financial Performance review. Co-ordinate Annual Statutory Audit to ensure completion in stipulated timelines.