Job Description
• Operating the core system on a daily basis, including accounting entry input, inter-bank transactions and other operations as required;
• Producing various financial returns in accordance with regulatory requirements and completing regular reports to the Head Office.
• Acting as a backup for the Finance Manager in producing financial reports to meet local regulatory requirements;
• Assisting in finance system support and coordination, including coordinating with the group on the required reports and transactions;
• Communicating with other business functions of the bank for the reconciliation of GL, suspense accounts, and Nostro accounts;
• Preparing daily management information reports and monitoring management and regulatory indicators;
• Other tasks as required by the line manager.
Requirements
At least 3 years of relevant experience, preferably in the banking industry.
Experience with creating financial statements with exposure to the banking industry.
Experience with general ledger functions and the month-end/year-end close process.
Quick learner, self-motivated, and able to work under pressure.
Able to work in a small team with a positive and cooperative attitude.
Attention to detail.
Advanced Microsoft Excel skills.
#J-18808-Ljbffr