Accountant

at CS Advisory
Location Dar es Salaam, Tanzania, United Republic of
Date Posted August 4, 2024
Category Accounting
Audit
Finance
Management
Job Type Full-time
Currency TZS

Description

JOB DETAILS:
On behalf of Our client, we are looking for an Accountant to manage all financial transactions, from fixed payments and variable expenses to bank deposits and budgets.

Where?
Arusha

Who are you?
• A Responsible for the management and  reporting of financial information, including analyzing data, preparing financial  reports, budgets, tax returns, and accounting records
• A responsible and hard-working person who is ready and enjoys to take extra duties and/or work over time whenever required to do so.

• An open-minded person who is ready to learn and acquire new knowledge on daily basis.

What are we looking for?
• Holder of Bachelor’s Degree or advance diploma in Accountant related courses from recognized Institution, Knowledge on Quick book is an added advantage.
• At least Upper Second-class grade
• Relevant post qualification working experience of not more than two (2) years.
• Strong understanding of accounting systems and processes

• Strong organization ability and excellent leadership qualities with experience in managing large teams.

• Proficiency in all Microsoft Office applications.

• An energetic and friendly attitude with the ability to be flexible, patient, personable, reliable and easy going.
• Strong analytical and problem-solving skills.
• Effective interpersonal and communication skills (written and verbal) in English. Multilingual is an advantage.
• Strong time management skills.
• Strong customer service.
• Ability to work independently as a part of a team.

What will you do?
• To manage all daily, weekly and, monthly operations of the company.
• Preparing accounts and tax returns
• Supervise invoices and keep contract filing system up to date
• Compiling and presenting  reports, budgets, business plans, commentaries and financial statements
• Manage all accounting transactions
• Prepare budget forecasts
• Publish financial statements in time
• Handle monthly, quarterly and annual closings
• Reconcile accounts payable and receivable
• Ensure timely bank payments
• Compute taxes and prepare tax returns
• Manage balance sheets and profit/loss statements
•  Report on the company’s financial health and liquidity
• Audit financial transactions and documents
• The ability to work as part of a team
• Reinforce financial data confidentiality and conduct database backups when necessary
• Comply with financial policies and regulations
• Organize journal entries, perform analysis on account records and reconcile statements for month ending
• Any other duties that can be a sign by the supervisor

Why us?
• An opportunity to use your talents, expertise and knowledge.
• Ample opportunities for career progression and development.
• Meal on board while in the office.

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