Turaco Finance Jobs in Accra
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The Finance Associate will play a pivotal role in ensuring the smooth and efficient operation of both the finance and administrative functions in Turaco Ghana. This role requires a detail-oriented and organized individual with a strong understanding of accounting principles and administrative procedures.
Key Roles & Responsibilities
Accounting
- Data Entry: Meticulously enter all approved cash transactions into the accounting softwares (QuickBooks/Fathom) to maintain accurate and up-to-date financial records.
- Petty Cash Management: Prepare and disburse petty cash payments in accordance with company policies and procedures, ensuring proper documentation and accountability.
- Reconciliations: Perform regular reconciliations of petty cash and expense accounts to identify and resolve any discrepancies.
- Cash Flow Management: Monitor and manage cash balances to ensure sufficient funds are available to meet all payment obligations.
- Financial Reporting: Assist in the preparation of monthly financial reports, providing accurate and timely financial information to management.
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1. Patiently scroll down and read the job description below.
2. Scroll down and find how to apply or mode of application for this job after the job description.
3. Carefully follow the instructions on how to apply.
4. Always apply for a job by attaching CV with a Cover Letter / Application Letter.
-->
The Finance Associate will play a pivotal role in ensuring the smooth and efficient operation of both the finance and administrative functions in Turaco Ghana. This role requires a detail-oriented and organized individual with a strong understanding of accounting principles and administrative procedures.
Key Roles & Responsibilities
Accounting
- Data Entry: Meticulously enter all approved cash transactions into the accounting softwares (QuickBooks/Fathom) to maintain accurate and up-to-date financial records.
- Petty Cash Management: Prepare and disburse petty cash payments in accordance with company policies and procedures, ensuring proper documentation and accountability.
- Reconciliations: Perform regular reconciliations of petty cash and expense accounts to identify and resolve any discrepancies.
- Cash Flow Management: Monitor and manage cash balances to ensure sufficient funds are available to meet all payment obligations.
- Financial Reporting: Assist in the preparation of monthly financial reports, providing accurate and timely financial information to management.
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