KEY RESPONSIBILITIES

Prepare monthly consolidated financial statements and ensure all necessary intercompany transactions are identified and eliminated.
Manage the month end reporting timetable across all Group entities. 
Produce monthly management reporting packs including performance insights and comments.
Drive monthly financial statement close process ensuring timely closure and opening of the subledgers and general ledgers to entrench consistency in financial reporting process.
Regular monitoring and review of all GLs for accuracy, and appropriateness of general ledger entries.
Regular review, reconciliation, and settlement of intercompany accounts.
Ensure timely processing of group expense recharges, and address queries that may arise.
Review the daily reports from group entities and provide summary report and insights for senior management.
Review of Group reported process to entrench efficiency. 
Support entity financial accounts team on technical accounting issues 

MINIMUM POSITION QUALIFICATIONS
The preferred candidate will meet the following criteria:

Possess a Bachelor's degree from a recognized university
Is a Certified Public Accountant (CPA)
Professional qualifications in financial analysis or Master's degree in a business related field is an added advantage
A minimum of five (5) years' experience in the finance field, including experience in the following areas:

Financial consolidation
Financial and management reporting
Financial reporting standards application (IFRS)
Financial analysis and business performance management
Stakeholder management
  • Finance
  • Accounting
  • Audit