Description:
    Roles and Responsibilities
	- Manage Bank, AP and Intercompany ledgers, daily
- Set up new accounts per contract terms, and send monthly statements
- Allocate customer payments to invoices and maintain accurate records
- Coordinate payment and processing of a range of suppliers, withholding tax certificates, and related allocations
- Support the preparation of withholding tax claims with appropriate documentation
- Assist in monthly management accounts preparation and reconciliation of balance sheet and payables accounts
- Produce standard and ad-hoc reports as needed
- Ensure compliance with internal controls, financial policies, and risk management procedures
- Carry out additional finance-related tasks as assigned
 
Requirements
	- 1+ year in an accounts assistant or bookkeeper role
- Strong Microsoft Excel skills
- Excellent time management and communication skills
- Ability to work under pressure and meet deadlines
- Team player with a proactive and solution-oriented mindset