Position Overview
Main Purpose of the Job This role is designed to implement and manage the general accounting function by ensuring accurate reflection of the financial position, complying with all legal and internal requirements, and providing a sound basis for management interpretation. Role and Responsibilities: Financial Accounting Perform month end transactional activities e.g., review of adjustments, month-end closing procedures, and recon preparation etc. Provide first level support in terms of call and query handling across AEL Perform selected bank reconciliations Review, approve, and post predefined manual journal entries and support documentation and narration to journal (ensure journal entries are valid, accurate, and complete) Reconcile balance sheet accounts within an SLA timeline and follow up on long outstanding items with Retain Finance. Prepare a monthly memorandum of balance sheet recon issues for review by the in-country team or Retaine Finance. Maintain a...