Vodafone Accounting Jobs in Accra
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3. Carefully follow the instructions on how to apply.
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Role Purpose
Manage a team of specialists to deliver monthly reports for Vodafone Group including both financial and non-financial information,and provide timely, reliable financial information on revenue, direct costs, opex and capex to Vodafone Ghana Finance
Key Accountabilities
- Provide appropriate responses to queries raised by FP&A and other stakeholders on monthly management reportsTo provide basis for financial analysis by other stakeholders.
- Provide schedules and reports during audit review and other statutory requirements.
- To provide basis for financial analysis by other stakeholders.
- Manage accurate and timely completion of monthly trial balance.
- Review expense entries and investigate large variances to ensure correct cost centres are charged.
- Provide timely and accurate calculation on Regulatory Fees to Finance Controller to ensure that statutory payments datelines are complied with.
- Provide appropriate responses to queries raised by FP&A and other stakeholders on monthly management reports.
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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.
-->
Role Purpose
Manage a team of specialists to deliver monthly reports for Vodafone Group including both financial and non-financial information,and provide timely, reliable financial information on revenue, direct costs, opex and capex to Vodafone Ghana Finance
Key Accountabilities
- Provide appropriate responses to queries raised by FP&A and other stakeholders on monthly management reportsTo provide basis for financial analysis by other stakeholders.
- Provide schedules and reports during audit review and other statutory requirements.
- To provide basis for financial analysis by other stakeholders.
- Manage accurate and timely completion of monthly trial balance.
- Review expense entries and investigate large variances to ensure correct cost centres are charged.
- Provide timely and accurate calculation on Regulatory Fees to Finance Controller to ensure that statutory payments datelines are complied with.
- Provide appropriate responses to queries raised by FP&A and other stakeholders on monthly management reports.
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