Oversee the daily processing for the finance team.
Review of monthly reconciliations
Treasury management
Month end process completion (including monthly journals preparations)
Monthly / quarterly /annual financial reporting
Prepare and run annual audit and financial statements.
Financial analysis
Process improvement.
Ensure company compliance with IFRS.
Ad hoc projects as assigned by Managing Director
Qualifications and Experience:
Matric (required)
Bachelors degree in Accounting or Finance required.
SAIPA, CIMA advantage
3 5 years experience
Strong experience in financial analysis and reporting
Advanced excel skills, ability to work with lookups and pivot tables.
SAGE and pastel partner experience
Ability to develop financial and operational models.
Skills:
Strong organizational, analytical and interpersonal skills
Strong verbal and written communication skills
Self-motivated to learn new concepts and participate in new projects.
Have a flare for numbers, work well with people, aggressively anticipate impacts of workload/issues to team deadlines and have a very positive work attitude.
Ability to be flexible and able to work as part of a team.