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.
* O salário de referência é obtido com base em objetivos de salário para líderes de mercado de cada segmento de setor. Serve como orientação para ajudar os utilizadores Premium na avaliação de ofertas de emprego e na negociação de salários. O salário de referência não é indicado diretamente pela empresa e pode ser significativamente superior ou inferior.