Assistant Accountant
Current- Ensure accuracy and completeness of financial records by regularly reconciling accounts and maintaining the general ledger.
- Manage all projects and head office petty cash journal vouchers (JVs), ensuring accurate recording of financial transactions.
- Prepare weekly payments on a project-wise basis, ensuring timely and precise disbursement of funds and cash flow.
- Handle the preparation and issuance of cheques for various payments.
- Support with the preparation of budgets and forecasts, contributing to financial planning and analysis.