Accountant
• Perform full set of accounting operations including account receivable, account payable, general journals, inter-company reconciliations, bank reconciliations and month-end closing• Analyze and/or assist with analysis of accounting transactions• Prepare monthly assigned account reconciliations. Ensure that all accounting records are accurate and well organized.• Maintain monthly accounting records including invoicing and reconciliations/journal entries and support generated during the month• Liaise directly with auditors and internal or external clients as and when required to resolve accounting queries.• Liaise with outsourced accounting firm to manage accounting process cycle and feedback quality of service to Finance Manager• Prepares accounting financial statements and reports required in a timely and accurate manner, in accordance with organization policies.• Prepare journal entries and reviews accounting classifications, in accordance with generally accepted accounting principles• Make appropriate improvements to internal accounting processes ensuring that practices are in line with the overall goals of the organization.