Key Responsibilities
§ Record fixed asset additions, disposals, and
transfers in the system.
§
Perform monthly
reconciliation with the departments to verify the additions and values.
§
Maintain
accurate fixed asset ledgers and ensure compliance with fixed asset policy.
§
Assist in
preparing reconciliation schedules for monthly and year-end closing.
§
Support
periodic physical asset inventory verification and update differences in the system.
§
Prepare reports
on asset movements and assist in responding to assets related queries.
§ Handle ad-hoc tasks as assigned by the line manager
Qualifications