Prefered skills
Accounting, Account Reconciliation, High Level Of Accuracy, General Ledgers, Finance, Accounts Payable (AP), Budgeting, Ledger Management, Financial Reporting, Balance Sheets
Job description
Supporting the monthly and annual finance processes within agreed deadlines.
Responsibilities:
Assist in preparing monthly management accounts and financial reporting for more than one entity within the group
Prepare monthly balance sheet reconciliations and resolve reconciling items
Process general ledger journals and provisional journals
Support processing of month-end journals
Summarizing and reconciling inter-group transactional accounts
Support year-end financial processes and audit preparations
Reconciliation of capex cash flow and accounting entries
Capture monthly transactions and assist with the accounting of group subsidiary accounts
Support the Financial Managers and CFO with any queries
Manage projects
Coordinate the efficiency of junior staff.
Requirements
Grade 12
Diploma in bookkeeping, financial accounting or similar
3 to 5 years experience in a similar position, preferably in a manufacturing environment.
Advanced skill in MS Office
Ability to deliver faultless work
Excellent communication, problem solving & time management skills
Detail & results focused.
Please note, only shortlisted candidates will be contacted.
Closing date: 15 August 2023