Job Description
Full job descriptionKey Responsibilities:Process and perform general ledger activities for all divisions.Process journals and journal adjustments for all divisions.Perform and complete reconciliations for all divisions.Ensure accurate recordkeeping for all accounting activities for audit purposes.Prepare and perform trial balances accurately and timeously.Work alongside the group accounting and statutory reporting team to ensure all month end and year end processes are accurate and completed as per the agreed timelines and guidelines, including assisting with monthly finance activities.Where required, escalate all requests and queries accurately and timeously to the line manager.
Responsibilities + Skills
Education
Matric required with an Advanced Diploma or equivalent certification in Finance/Accounting (preferable)
Experience
1-3 years of experience working in a Shared Services or transactional environmentSAP experience (preferable)Coupa experience (preferable)