+1 868-625-6474

Port of Spain Office

The Finance Trainee is responsible for the accurate and timely entry of financial transactions for the firm. Articulates an understanding of procedures and workflow of the department.

Key Accountabilities:

  • Prepare daily deposits and update deposit schedules for all bank accounts, following all procedures and internal controls.
  • Process vendor invoices/schedules and prepare cheques ensuring approvals and supporting documents are received.
  • Preparation of Balance Sheets, P/L schedules and analysis.
  • Enter client disbursements into CCH Application – TTD petty cash, letters, Corp Sec. department’s monthly disbursements sheets.
  • Enter in CCH Application new vendors.
  • Manage and reconcile petty cash disbursements (TTD and USD), ensuring relevant documents and approvals are received.
  • Prepare foreign petty cash journal.
  • Prepare cell charges work sheets for Bmobile and Digicel.
  • Assist in the regular filing and clean-up of documents in the Finance department.
  • Assist with requests, queries and data entry as required from Managers.

Qualifications and Experience:

  • Pursuing an Accounting degree OR pursuing ACCA
  • Working knowledge of Microsoft Office
  • Basic knowledge of accounting software
  • Basic understanding of Tax & VAT laws and regulations
  • Basic understanding of International Financial Reporting Standards (IFRS)

Screening Questions:

Question 1: Are you currently pursuing ACCA Level I or an Accounting Degree?

Question 2: Do you have working knowledge of a Finance Department?

Question 3: The budget for this role is between $4000-$4500, is this within your range?

Upload your CV/resume or any other relevant file. Max. file size: 1 MB.