The accountant will support general accounting process of the company such as daily financial transactions and reporting, reconciliation of cash collections, facilitate payables, receivables, manage and effect payroll , and tax.
Main duties and responsibilities
- Manages the day-to-day accounting transaction
- Records daily sales transactions and expense with Peachtree
- Undertakes reconciliation and posting subsidiary ledgers with general ledgers
- Prepares /Check cash payments and cash receipt voucher with the appropriate documents
- Prepares, Check, reconcile and declare Income tax, Pension
- Contribution, Withholding tax, cost sharing, stamp duty and VAT to the appropriate government Organization monthly
- Maintains and controls stock
- Posts incoming and outgoing stock into the system
- Reconciles inventory accounts to ensure accurate financial reporting
- Prepares weekly, monthly, annual reports for inventory valuation
- Prepare Journal Voucher monthly
- Prepares and check daily laborer payroll Weekly/biweekly
- Prepare Employee salary (including payroll reconciliation)
- Prepares and follows up of Daily cash Flow
- Follows up the status of customer by site (Customer follow up) and office rent periodically
- Checks cost sheet for the project (Site materials cost sheet)
- Maintains fixed asset record
- Prepares Import cost sheet and liquidation of GIT
- Prepares Weekly and Monthly management reports
- Supports closing of annual financial report
- Performs other duties assigned by supervisor.
Job Requirements
Education :
B.A degree in Accounting and Finance and other related fields with a minimum of 4years direct experience in merchandising/ construction/manufacturing companies/factories with proven Peachtree Accounting software practice.
Competencies:
- Good knowledge of accounting principles and practice with Ethiopia tax law
- Good communication and interpersonal skills
- Team work
- Self Confidence



