Our client is a leading investment banking firm focused on providing financial advisory capital raising and investment management.
Key Responsibilities
Ensuring timely remittance of PAYE VAT WHT Pension deductions and NHF
Review and verification of posted transactions into accurate ledgers in the accounting system ensuring the accuracy of the maintenance of fixed asset register Loans investments and prepayment schedules.
Training and development of junior staff to enhance knowledge and skills.
Ability to independently prepare periodic management reports and SEC compliant financial statements.
Coordination of year end audit by submitting requested documents and liaising with external auditors and tax consultants to ensure timely conclusion in line with Management objectives.
Requirements
B.Sc Accounting with a minimum of second class upper
58 years financial reporting/control experience in a bank or reputable asset management firm
Practical knowledge of IFRSs with specific mastery of IFRS 9.
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