Accountant
Ravenpay Limited
Maintain accurate accounting records and general ledgers; perform bank and control‑account reconciliations; prepare monthly financial reports and management summaries; compute and file PAYE, WHT, VAT and other statutory returns; collaborate with auditors; review daily bookkeeping entries; monitor AR/AP ageing; investigate sales‑bank deposit inconsistencies; ensure regulatory compliance; support CFO in cash‑flow management.