Responsibilities
- Responsible for ensuring accurate financial record keeping
- Responsible to ensure accurate reconciliations between operational and accounting systems and balance sheet reconciliations for all suppliers
- Supporting the year-end, interim and all month-end processes and reporting
- Ensure applicable policies and processes are created, documented, reviewed, signed off and adhered to
- Support Financial Manager in monitoring daily cash balances and determine cash requirements needed
- Continued analysis and review of current and new systems
- Bachelor's degree in Accounting or related field required
- 0-2 years as a CASA or 2+years as a AGSA or 5+years in the role