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Chief Accountant- General Accounts & Reporting

Kerchanshe Trading Company

Addis Ababa, Ethiopia Permanent

Published 1 month ago · Expires 3 weeks from now

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Job description

## Title: Chief Accountant – General Accounts & Reporting

Job Purpose

To supervise and control day-to-day activities of the general accounts team and all operations, justify all balance sheet accounts, and generate refined financial reports.

Generic Duties

  • Lead, coordinate, and oversee day-to-day operations of team members
  • Set clear team goals and follow up on their implementation
  • Ensure employees follow health and safety regulations

Main Duties and Responsibilities

  • Supervise daily accounting transactions including bank reconciliation, accounts payable/receivable, and general ledger management
  • Review and prepare analysis of statements and reports for accuracy, completeness, and compliance with company policies and procedures
  • Prepare asset, liability, and capital account entries by compiling and analyzing account information
  • Ensure codification and recording of receivable and disbursement transactions in accordance with the Company's accounting system
  • Verify that all financial transactions are complete and accurate
  • Maintain accounting controls by preparing and recommending policies and procedures
  • Maintain and balance consolidation accounts through entries across subsidiary companies
  • Review all inter-company transactions and generate reports as necessary
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls
  • Research financial and accounting problems and recommend actions to resolve issues
  • Ensure the Company complies with federal, state, and local financial and legal requirements
  • Study existing and new legislation, enforce adherence to requirements, and advise management on needed actions
  • Ensure accounts are recorded and reconciled properly
  • Review and verify correctness of all ledger accounts and unposted journals
  • Ensure reconciliation of subsidiary accounts with general ledger accounts
  • Keep financial books up-to-date, timely closed, and audited

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