Supporting the Chief Accountant in delivering the general accounting functions including journal entries, balance sheet reconciliations, bank and accounts receivable/payable processing, fixed assets, and VAT. Driving an accurate and timely month‑end close. Owning incentive computations and inventory costing while ensuring all transactions comply with company policy and IFRS.
Responsibilities
- Assist in month‑end and annual close in the General Ledger.
- Analyze accounting activities and prepare journal entries.
- Reconcile and maintain all assigned balance sheet schedules.
- Prepare and maintain prepaid schedules (e.g., rent, general insurance, medical insurance, service contract costs).
- Analyze and prepare cost accruals.
- Daily bank position and monthly bank reconciliations.
- Identify daily activity in bank accounts.
- Ensure all AR receipts are properly matched with invoices on a daily basis.
- Post...