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Join a vibrant finance team where your passion for numbers can truly shine! This role offers an exciting opportunity to enhance your accounting skills while contributing to essential financial processes. You'll be involved in monthly bank reconciliations, month-end closing activities, and financial reporting, ensuring accuracy and compliance. If you're detail-oriented and have a knack for analytical tasks, this position is perfect for you. Be part of a dynamic environment where your contributions matter and help drive the company's success!
Are you passionate about numbers and ready to take your accounting skills to the next level? Looking for a vibrant team where you can grow, contribute, and make an impact? If yes, we want YOU on our Finance team!
Key Responsibilities:
Bank Reconciliation: Perform monthly bank reconciliations to ensure financial records are accurate and discrepancies are resolved promptly.
Month-End Closing: Assist in month-end closing activities, including the preparation of journal entries and reconciliation schedules.
Financial Reporting: Maintain and update management schedules to support timely and accurate month-end reporting.
Sales Reporting: Extract and compile sales reports from various platforms for analysis and management review.
Audit & Compliance Support: Support both internal and external audit processes, including stock take exercises and the preparation of required documentation.
Other Duties: Perform any other ad hoc tasks as assigned by the Finance Manager.
Job Requirements:
Diploma in Accounting, Finance, or a relevant field.
Minimum 2 years of relevant experience in accounting or finance functions.
Proficient in Microsoft Excel. Experience with Microsoft Navision (NAV) is an added advantage.
Detail-oriented with strong analytical, organizational, and time management skills.