Female (3) posts
Posted Date : 06 / 02 / 2020
Posted Date : 06 / 02 / 2020
- Preparing Monthly, Quarterly and Yearly Master Budget for branches Operational plan and Cash budget
- Producing on time monthly and yearly financial reports – Trial Balances, Income Statements, Balance Sheets and cash flow Statement for branches
- Preparation of Consolidated Financial Statement
- Computation of Taxation
- Producing reports for external stakeholders
- Comparing and Analyzing the budget and actual income and expenditure
- Reviewing and analyzing the financial position of branches
- Maintain all original entry documents (vouchers, etc.).
- Monitoring office cash flow forecasts and actuals to identify cash deficit/surplus and make recommendations for cash movements as needed
- Managing and supporting the cashiers on related financial matters
- Monitoring and supporting branches to ensure the compliance of financial policies and procedures
- At least four years’ experience especially in budgeting and financial accounting in Microfinance field
- Significant experience in financial monitoring, budgetary systems and controls with strong analytical skills.
- Good personal organizational skills, including time management and ability to meet deadlines
- Ability and willingness to work under pressure as part of a professional team.
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