Description
Key Duties and Responsibilities
- Coordinate monthly stock verification and certification.
- Prepare Head office Stock Monthly, Quarterly and Year end summary report and ensure accurate and timely submission.
- Responsible for assuring the integrity of all stock balances.
- Ensure accuracy of monthly Cash Count and Cash Count Certificate.
- Ensure confirmation and reconciliation of quantity with physical quantities of bustages and rejected bags.
- Perform any other duties as may be assigned by the Chief Finance Officer.
Requirements
- Bachelor’s degree or its equivalent in accounting or other related discipline.
- Minimum of ten (10) years relevant experience.
- Relevant professional qualifications such as ACA, CIMA, CPA, ACCA.
- Good understanding of trends, challenges, opportunities, regulations and legislations relating to the cement manufacturing industry.
- Good knowledge and understanding of finance best practices, IFRS, and other applicable accounting standards.
- Basic knowledge of accounting packages and systems, including SAP.
- Good communication and interpersonal skills.
- Good data gathering, analysis and problem-solving skills
- High ethical standards and integrity.
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