Job Description

Job Description

Responsibilities of the Role:

  • Assist in the preparation of balance sheet schedules and journal vouchers for monthly account closing activities
  • Maintain the fixed asset register, calculate monthly depreciation, and record gains or losses on asset disposals
  • Prepare full sets of monthly financial statements for subsidiary companies, including account reconciliations, tax computations, and supporting analysis reports for management review
  • Compile, verify, and process staff claims on a monthly basis in accordance with company policies
  • Perform data entry for daily cash and bank collections accurately and in a timely manner
  • Record petty cash transactions and ensure proper documentation and approvals
  • Conduct monthly bank reconciliations to ensure accuracy and completeness of financial records
  • Monitor and update daily foreign exchange rates for accounting purposes
  • Perform any other a...
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