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  • Posted: Apr 11, 2022
    Deadline: Apr 28, 2022
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    Our primary focus is to provide facility management, project management and real estate development consultancy, training and professional services delivery support to corporate organisations and private investors with major real estate assets. We pride ourselves in the delivery of high quality professional services while ensuring minimum total life cycle co...
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    Accountant - International Business

    • Preparation of monthly, quarterly, and annual financial reports and analysis of results with observations and recommendations to management on cash flow profitability, financial position, etc
    • Analysis of revenue and expenditure trends and recommendation of appropriate budget levels, in order to ensure expenditure control
    • Maintenance of Fixed Assets Register and ensure insurance premiums are promptly paid
    • Ensure the timely monthly Reconciliation of all Balance Sheet accounts, including all bank accounts indicating the elements of interest on Loan/Overdraft and other bank charges are up to date
    • Responsible for the effective delivery of General Accounting processes, data accuracy in line with established SLAs for the Finance function
    • Administration of the company's tax payment system, including the compilation and remittance of Staff PAYE tax deducted, Staff pension contribution, VAT collected, and withholding tax deducted
    • Interact with the internal and external auditors and also maintain a relationship with the company's bankers
    • Preparation of Monthly and Half-yearly Cash Flow projection
    • Maintenance of Accounts Payables and payments of vendors and other suppliers of goods and services
    • Maintenance of Account Receivables, Billing of respective clients, and recommendation of appropriate Credit Control Policy
    • Maintain accurate records of intercompany transactions and timely monthly
      reconciliation of intercompany payable and receivable balances
    • Prepare and reconcile the Trial Balance at year-end for Statutory Audit purposes and provision of all the required schedules which must tie to the TB.
    • Prepare budget forecasts
    • Perform other tasks assigned by the Group Financial Controller

    Qualifications

    • First degree in Accounting or Finance
    • Minimum of 5 years of experience in Accounting
    • Fluent in French and English (written and spoken) is a Must. 
    • Experience with French legal entity, French charts of accounts and French tax is a plus
    • Understanding of accounting principles and businesses in francophone countries
    • Excellent knowledge of accounting regulations and procedures, including the Generally Accepted Accounting Principles (GAAP)
    • Hands-on experience with accounting software like FreshBooks, Tally, SAGE, and QuickBooks
    • Advanced MS Excel skills including Vlookups and pivot tables
    • Experience with general ledger functions
    • Strong attention to detail and good analytical skills
    • Basic Data Analytics skills such as PowerBI and Tableau will be a huge plus.

    Method of Application

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