This role supports the financial decision-making information by collecting, analysing, investigating, and reporting financial data.
The role will also include treasury functions, such as cash flow management, banking signatories & profile management, ensuring all payments are promptly and accurately paid, booking forex, etc.
Major Areas of Responsibility:- Providing Finance Support to the Group of companies
- Responsible for the accounts payable function incorporating both local and foreign suppliers
- Maintain the general ledgers and ensure completion of monthly general ledger reconciliations
- Processing month end journals and balancing loan accounts
- Responsible for monthly and quarterly financial reporting
- Responsible for Group treasury function
- Oversee stock counts and processing of stock count adjustments
- Preparing monthly commission schedules
- Maintain the fixed assets registers for both tax and accounting requirements
- Preparation and submission of monthly VAT and withholding tax returns
- Providing support and assistance with systems/process automation within the Finance department
- Assist with various statutory compliance requirements
- Other ad hoc tasks and projects.
Job RequirementsB.Com. accounting minimum, preferably with articlesAdvanced computer skills. Syspro experience will be an advantage
Treasury experience will be a strong advantage
Advanced Excel skills
Good communications skills essential.
Minimum of 4 years accounting experience.
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