Knowledge Skills and Abilities, Key Responsibilities:
Key Responsibilities:
Check and analyze financial information and prepare more complex financial reports and accounting statements so that senior management has accurate and timely information for making financial decisions.
Coordinate the issuance of monthly reports and financial reports such as: Income Statement, Balance Sheet, Account Consolidation, T tables, Cash Flows, Consolidation of Tangible and Intangible Assets, Weekly and Monthly Margins, Inventories Reconciliations, Debtor and Creditor lists, Budget Reports, Investments Projects Control, Approvals according to DOA and Revisions of Payments to Suppliers. Prepare reports weekly, monthly, and annually. Assist in development of budget. Perform and review account reconciliations.
Schedule monthly tax payments, VAT (with the monthly sales and purchases records), Income Tax withholdings, payments on account, and payment of the annual determination of the amount to be paid. Weekly tax distribution.
Keep daily control of such legal books and records of accounts as: General Ledger, Sales Records, Purchases Records, Inventory, receivables, payables and Annual affixing of the required tax stamps to books.
Coordinate, monitor, and execute independent audits, provide all necessary information for compliance on deadlines. Work closely with independent auditors during and preparing schedules for the annual audit. Revise the computation of employment termination payments.
Manages the accounts receivable, accounts payable and general accounting functions on a periodic basis
Preparation of the Annual Financial Report including financial statements, notes, supporting schedules, transmittal letter and statistical information.
Train, test and ensure the integrity of the financial system (controls and technology). Train, test and maintain the financial software system and ensure its integrity.
Attend meetings and participate on behalf of finance when needed
Requirements:
Experience:
Finance professional with 2-3 years of experience in an accounting role or similar in an industrial business
Oil industry experience is preferred
CPA or Ugandan certified chartered accountant is a must
Experience in preparing budgets, liasioning with URA/Tax Auditors
Familiarity with Sun Systems; Hyperion; Vision; Office; Advanced Excel; Database Management.
Skills:
Accounting Knowledge
Knowledge of applicable local laws, codes and regulations
Ability to compile, analyze data and prepare complex financial reports and statements
Knowledge of Microsoft Office
Fluent in English (other languages will be a plus)
Technology savvy
Competencies:
Ability to prioritize and schedule work; meet multiple deadlines,
Excellent communication and good organizational skills
Demonstrated ability to work on multiple projects in a high stress environment
Key Relationships and Department Overview:
Internal : Country Sales team, General Manager, Shared service – Mumbai, Business support team (back office)
Submit your CV and Application on Company Website : Click Here
Closing Date : 12th September, 2024
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