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  • Posted: Nov 28, 2017
    Deadline: Dec 1, 2017
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    Over the years, Hashi became established by delivering products to the most remote areas. Understanding challenges and tackling them, is the reason why Hashi is successfully considered as a 360 degree solutions provider Our Values We guarantee to provide products which are fit for purpose and conform to the regional Bureau Where We Work Hashi Energy&...
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    Graduate Accountant Trainees Program

     

    Main Purpose of the Job: 

    Reporting to the Finance Manager, the successful candidates will perform all various accounting roles including maintaining and reporting accounting records according to financial reporting standards.

    Responsibilities

    • Perform accounting activities to include financial reports, bank reconciliations, general ledger entries, and other general accounting functions
    • Maintain strong financial reports in compliance with organizations policies and procedures
    • Reviews vs. prepares monthly reconciliations
    • Maintain vendor files and related accounting records, such as leases and contracts
    • Manage accounts payables, receivables, travel advances, etc
    • Responsible for maintaining all ledgers and book keeping.
    • Preparation of Daily / Weekly / Monthly management reports.
    • Maintain and upkeep records / filing for any statutory reporting
    • Adhere to appropriate financial management procedures and accounting systems and monitor compliance.
    • Review financial reports to ensure compliance to Financial Reporting standards.
    • Control/manage costs within budget to contribute to the achievement of budgetary goals.
    • Liaise with IT department to continuously improve existing accounting and reporting systems.
    • Ensure compliance to regulatory requirements.
    • Prepare / Review information required for the external   audit and resolve issues, which fall under your control as accountant, arising out of audit.
    • Manage bank accounts and mandates to ensure efficient operations, compliance and security of funds.
    • Approve payments, within specified authorisation limits, and review bank reconciliations to ensure accuracy of underlying records and prevent loss to the company.
    • Develop and maintain relationships with the banks & financial institutions.

    Requirements

    • A fresh University Graduate with Degree in Finance or Accounting
    • CPA Finalist.

    Method of Application

    If you believe your competencies and qualifications match the job and role specifications described; send your application and detailed CV(with details of at least 3 referees) to reach us on or before Friday 1st December, 2017 by email to: hr@hashienergy.com We are an equal opportunity employer and its Recruitment Policy addresses itself to the core values of best practice, diversity and equality.

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