💼Job Descriptions 💼
- Record daily financial transactions.
- Maintain accurate and up to date data entry into both cash book and software.
- Prepare and process invoices, receipts and payment voucher.
- Check if customer payments have been received in the bank.
- Support monthly bank reconciliations and deliver statements reconciliations.
- Support the Senior Accountant and Assistant Chief Accountant.
- Occasionally, bank deposits and withdrawals must be made.
- Monthly physical inventory ground stock count.
✅Job Requirements✅
- Bachelor’s degree in accounting, Finance, or related field.
- LCCI Level II or III (or equivalent accounting certificate) is preferred.
- 2 –3 years of relevant experience in accounting.
- Proficient in Microsoft Excel and accounting software
- Good communication and interpersonal skills.
- Strong attention to detail and accuracy.
- High integrity, honesty, and sense of responsibility.
Benefits
- Attendance Allowance
- Meal Allowance
- Transportation Allowance
- Phone Bill Allowance
- Annual Bonus
- Employee Benefit Plan