Key responsibilities: 1) Handle the budget and forecasting process:
Compilation of the annual budget, monitoring and reporting on the monthly budget and reporting on the daily cash-flow of the company
2) Accounting and Reporting:
Assisting the Financial Manager with Debtors, Creditors, Cashbooks and Fixed Asset Registers. Capturing Cashbooks and General Journal
Compilation and reporting of monthly management accounts from the General Ledger
Capturing Cashbooks and General journals
Overseeing accurate payment of Creditors
Creditors reconciliation verification process
Assisting with the annual audit process
3) Fixed Asset Register 4) Taxation 5) Any other ad hoc tasks as requested by Management
Requirements:
Degree in Accountancy/Financial Management or related field (ideally BCom (Accounting/Management Accounting) Minimum 2 year's financial management / accounting experience
Exposure to preparation of management accounts and financial statements advantageous