Chief Accountant- General Accounts & Reporting
Kerchanshe Trading Company
Addis-Abeba, Éthiopie
CDI
Publiée il y a 3 jours · Expire dans 1 mois
Description du poste
Job Purpose:- To supervise and control day to day activities of general accounts team and all operations, justify all balance sheet accounts and generates refined reports.Generic Duties:Leads, coordinates and oversees day-to-day operation of team members.Sets clear team goals and follow up their implementation.Ensures employees follow health and safety regulations.Main Duties and Responsibilities:Supervises the daily accounting transactions including bank reconciliation, accounts payable/receivable and general ledger.Reviews and prepares an analysis of statements and reports for accuracy, completeness, and compliance with policy and procedures. Prepares asset, liability, and capital account entries by compiling and analyzing account information.Ensures that codification and recording of receivable and disbursement transactions are conducted in accordance with the accounting system of the Company. Ensures all the financial transactions are complete and accurate.Ensures that the financial books are always kept up-to-date, timely closed and audited.Maintains accounting controls by preparing and recommending policies and procedures.Maintains and balances consolidation accounts through entries across subsidiary companies.Reviews all inter-company transactions and generate reports as necessary. Develops and documents business processes and accounting policies to maintain and strengthen internal controls.Researches financial and accounting problems and recommends actions to assure the resolution of such problems.Ensures the Company complies with federal, state, and local financial and legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising management on needed actions.Makes sure accounts are recorded and reconciled properly.Reviews and checks correctness of the all-ledger accounts and checks all unposted journals.Ensures reconciliation of subsidiary accounts with general ledger accounts.Participates in preparing accounting policies to maintain and strengthen internal controls. Assists sites to carry out financial tasks as per the financial policy and procedure of the Company. Performs other duties assigned by the immediate supervisor.