· Maintain the general ledger and trial balance.
· Prepare journals, accruals, provisions and month-end adjustments.
· Complete monthly balance sheet reconciliations.
· Ensure accurate month-end close and reporting.
· Prepare monthly management accounts.
· Analyze financial performance and key variances.
· Provide profitability reporting by customers, site and business unit.
· Support budgeting and forecasting processes.
· Monitor debtors and creditors.
· Assist with cash flow forecasting and reporting.
· Support working capital improvement initiatives.
· Maintain strong financial controls and audit readiness.
· Assist with VAT, tax, and statutory requirements.
· Ensure compliance with accounting policies and group procedures.
· Support operational and commercial teams with financial insight.
· Assist with business cases and financial modelling.
Drive continuous improvement and automation initiatives
SAIPA Articles and two years post articles experience required
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