Responsibilities
- Manage the full set of accounts by accurately recording, filing, and maintaining financial transaction records to ensure compliance and data integrity
- Perform daily accounting operations including processing accounts payable (AP), accounts receivable (AR), and general ledger (GL) entries to support financial accuracy
- Execute monthly bank reconciliations and maintain detailed petty cash movement data to ensure financial controls and accuracy
- Prepare monthly management accounts and periodic financial reports to provide actionable insights for business decision-making
- Apply accounting principles and utilize accounting software such as Xero to streamline financial processes and reporting
- Work independently with minimal supervision to deliver timely and accurate accounting outputs while collaborating effectively as a team member
- Demonstrate strong organizational skills and attention to detail to ensure thorough follow-through on accounting tasks and compliance requirements
- Execute additional ad hoc accounting and financial tasks as assigned by management to support evolving business needs
Required competencies and certifications
- Diploma in Accounting or LCCI certification