Accountant

Accountant

Addis Ababa, AA Vita/RTI
 

  • Periodically maintain bank balance and disburse in accordance with financial procedure and when duly authorized;
  • Properly prepare check payments based on approved payment request;
  • Keep financial records and process transaction on daily basis to ensure correctness and accuracy of cash and book balance;
  • Follow up balances due on travel or other advance payment and reimbursement;
  • Reconcile cash inflows and outflows and report on same;
  • Ensure settlements of miscellaneous payments and utilities;
  • Incompliance with the government rules and procedures, deduct income tax, provident and pension, withholding tax and other related deductions;
  • Prepare fixed asset registration book for inventory control and reporting;
  • Perform others related duties assigned for the purpose of ensuring efficient and effective functioning of the work unit;
  • Assist in performing general ledger accounting functions are completed in an accurate and timely manner;
  • Compile financial information files, records and documentation in a proper and professional manner;

Twitter Delicious Facebook Digg Stumbleupon Favorites More