Chief Accountant at Premier Transport and Tour Services Ltd: Deadline : 02-12-2022

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POSITION OF CHIEF ACCOUNTANT

Duties and Responsibilities

  • Provides counsel to the MD and the Board on significant matters affecting company’s finances, operations and procedures.
  • Advice the MD on all aspects of finance in carrying out their strategic objectives.
  • Assists the MD in developing and implementing strategic and business plans and budgets.
  • Identifies opportunities for the organization to improve its financial and competitive position by monitoring transport industry changes.
  • Develop, review and maintain all finance and finance-related procedures to ensure they are aligned to company’s mission.
  • Oversees budgeting, accounting, payables, receivables, cash flow, benefit management, and investing functions.
  • Develops annual budget and monitors and reports budget performance;
  • Manages the organization’s risk by enforcing internal controls and assisting with external and internal audits.
  • Ensures compliance with all applicable sales, tax laws
  • Hold quarterly procurement consultative meetings with Department Heads/units to ensure that the demand management plan is executed as documented and ensure that the procurement of goods and services is corrected as planned.
  • Provide the finance department with guidelines and timetable on an annual basis in terms of the reporting requirements and the timelines within which reports are required.
  • Ensure accuracy and completeness of financial reports and provide quarterly and annual financial reports.
  • Monitor expenditures, analyze revenues and determine budget variances and report the same to managing Director.
  • Analyze financial discrepancies and recommend effective resolutions.




Job Description

  • A bachelor’s degree in accounting, finance or economics.
  • Must possess professional accounting qualification such as ACCA, CPA, and CIMA.
  • A minimum of 3 to 5 years’ accounting experience with at least 3 years as an accountant.
  • Experience in managing a portfolio of currencies.
  • Demonstrable track record of successful and sustainable financial management.
  • High level competence with structuring and negotiating complex transactions.
  • Experience in managing treasury operations.
  • Advanced Excel skills and experience of analyzing and manipulating large volumes of financial data.
  • Experience of the accounting software at an advanced level.
  • Knowledge and understanding of strong accounting and internal control processes.
  • Ability to work on multiple projects simultaneously and meet project deadlines.
  • Thorough knowledge and understanding of financial management and IFRS, GAAP.
  • Experience in resource mobilization and capital markets transactions.

Interested candidates should apply using the “Apply button below not later than 2nd December 2022.

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