Responsibilities:- Manage Debtors and Creditors departments.
- Oversee Treasury function management.
- Reconcile Intercompany loans.
- Handle Exports accounting and Foreign Exchange Control (FEC) function.
- Manage Insurance matters.
- Implement process improvements and strengthen controls.
- Document critical processes and perform self-audit functions.
- Manage Provisions and Accruals.
- Conduct Balance sheet reconciliations.
- Prepare monthly management results and provide analysis.
- Maintain the Fixed Asset Register.
- Prepare annual budget and provide input for Financial Statements.
- Prepare audit documents and assist in audit processes.
- Support CEO with ad hoc requests, projects, and responsibilities.
Skills Required:- Strong accounting skills with a solid understanding of financial principles.
- Proficiency in MS Office, particularly Excel.
- Excellent organizational skills with high attention to detail.
- Ability to multitask and prioritize workload effectively.
- Deadline-oriented with a strong work ethic.
- Willingness to go above and beyond to achieve goals.
- Good interpersonal and communication skills.
- Reliable own transport.
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