- Perform daily accounting operations, including data extraction, validation, and analysis from various banking and accounting systems to support financial reporting and operational requirements.
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- Review and verify accounting transactions, general ledger and sub-ledger balances to ensure accuracy, completeness, and compliance with internal policies and applicable accounting standards.
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- Prepare and maintain daily, monthly, and periodic financial, management, and statistical reports for Head Office, regional offices, and relevant stakeholders.
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- Support the preparation and submission of regulatory reports to local authorities and regulatory agencies in a timely and accurate manner.
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- Conduct account reconciliations, including correspondent (Nostro) accounts and other balance sheet accounts, investigate discrepancies, and follow up on outstanding items for resolution.
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- Monitor accounting records and financial data to ensure data integrity and adherence to regulatory and internal control requirements.
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- Operate and utilize banking and accounting systems effectively to support accounting processes, reporting, and operational activities.
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- Participate in user acceptance testing (UAT), system enhancement initiatives, and process improvement projects related to accounting systems, regulatory reporting, and operational requirements.
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- Collaborate with internal departments and stakeholders to address accounting, reporting, and reconciliation matters.
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- Assist in audits, inspections, and ad hoc requests from management, Head Office, auditors, and regulatory authorities.
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- Maintain proper documentation and records in accordance with internal policies and regulatory requirements.
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- Perform other duties and responsibilities as assigned by Team Leader, Head of Department, or Management.
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