Reporting to the Financial Controller, the responsibilities for this role include but are not limited to:
- Monthly general ledger account reconciliations/assisting with the month-end process
- Preparation and processing of adjusting journals
- General ledger maintenance and reconciliations
- Assistance with effective cash flow management
- Bank reconciliations
- Fixed asset register maintenance
- Other ad hoc tasks as required.
- Bachelor Accounting or Business/Commerce degree qualifications
- Commenced CA/CPA qualification post degree accreditation
- Proven experience within a similar role with 2 years accounting experience minimum
- Experience with SAP S/4HANA favoured upon
- Diligent and accurate in their work
- Be able to effectively communicate with internal stakeholders, including directors
- Accuracy and attention to detail
- Advanced Excel skills