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 Requirements
B.Com. accounting minimum, preferably with articles
Advanced 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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