Assist in the development of strategic priorities, yearly objectives, and yearly budgets for the company
Assess the company’s overall performance against the annual budget
Develop tools and systems to provide critical financial and operational information to the Finance & Strategy Manager and provide actionable recommendations on both strategy and operations
Assist in periodic Macro-Economic Analysis to help review the company’s strategic assumptions and advise on redress measures where necessary
Assist in budget preparation and financial management activities
Conduct periodic financial analyses to identify and resolve issues, gaps or variances
Forecast annual budgeting requirements and annual planning processes
Manage cash controls as well as maintain up-to-date bookkeeping
Track investments and maintain relevant cash reserves
Ensure all expenses are within the assigned project budget
Ensure account receivables and payables activities are performed accurately and timely
Ensure that financial transactions are properly updated and recorded
Manage the preparation of balance sheets, income statements, expense reports, etc
Review financial paperwork and procedures and make appropriate change
Ensure data integrity in all financial reporting
Review financial paperwork and procedures and ensure error-free documentation
Examining bank statements and reconciling them with general ledger entries
Creating and processing invoices.Cross-checking invoices with payments and expenses to ensure accuracy
Sending bills and invoices to clients
Communicating with clients regarding billing and payments
Attend to other duties as may arise from time to time.
Requirements:
Minimum academic qualification of a Bachelor’s degree in any discipline