Senior Accountant open to new opportunities
Demonstrated experience with VT Transaction Plus.
Demonstrated experience with Super pay.
Demonstrated experience with Tax calc.
Demonstrated experience with QuickBooks.
Demonstrated experience with Microsoft Package (Excel, PowerPoint, Word, etc).
Joseph Nelson Consult / J Nelson and co (UK)
Perform monthly reconciliation to identify errors and omissions and rectify them to ensure data completeness and accuracy for clients.. Prepare timely, monthly and quarterly financial reports to management to aid decision making for clients.. Support audit and follow up on implementation of audit recommendations.. Ability to use discretion and ingenuity to serve customers by answering internal control framework questions, financial reporting questions, giving insight into and advising on proper recording of transactions, and informing others of best practices of financial policies and procedures.. Oversee the financial and budget management for the businesses.. Maintain records to manage staff entitlements and oversee payment of salaries to the staff of Clients.. Contributes to financial documents elaboration (bank reconciliation, trial balances, income statement, statement of changes in equity and statement of financial position).. Assist in the preparation of reports for internal and external users. Bring to the attention of the supervisor any matter considered as relevant regarding accounting, finance, treasury, tax, payroll, or budget matters.. Preparation and submission of financial statements to Companies House (UK) and His Majesty’s Revenue and Customs (HMRC) (UK) as well as Ghana Revenue Authority (GRA) and the Office of Registrar of Companies Ghana.
Taifa Polyclinic
Perform monthly reconciliation to identify errors and omissions and rectify them to ensure data completeness and accuracy.. Prepare timely monthly and quarterly financial reports to management to aid decision-making in the regional programme.. Inventory accounting.. Maintain proper books of accounts and record on funds in the commission.. Prepare monthly bank reconciliation statement.. Supervise the preparation of trial balance and monthly bank reconciliation statement.. Respond to financial audit observation made by auditors.. Process the salary and compensations due staff promptly.
Bachelor of Science in administration