Key Responsibilities:
Fixed Assets and Stock Management: Oversee and maintain records related to fixed assets and stock levels.
Bank Management: Manage banking operations, including fleet cards and credit cards.
Month-End Reporting: Collaborate with teams on month-end reporting, addressing recharges, expenses, and sales.
VAT for the Group: Ensure compliance with VAT-related duties for the group.
Balance Sheet Reconciliations: Perform balance sheet reconciliations and manage tax provisions.
Qualifications and Skills:
Relevant accounting qualification (e.g., BCom in Accounting or similar)
Proven experience in accounting roles, with a focus on fixed assets, VAT, and stock management
Strong understanding of balance sheet reconciliations and financial reporting
Ability to work well under pressure and meet deadlines