Prepare weekly and monthly financial reports on revenue, cash flow, and other key metrics
Perform revenue reconciliations to ensure data accuracy
Manage balance sheet reconciliations and other key financial statements
Oversee cost management processes, including payroll entries
Conduct various journal postings and oversee payroll, accruals, and prepayments
Authorize payment schedules and ensure accurate processing
Communicate with financial institutions as needed
Compile detailed Excel reports on financial performance with variance analysis
Lead budgeting processes each quarter
Manage a small finance team
Skills & Experience:
Minimum of 5 years in a senior Finance or Accounting role
Advanced proficiency in Excel with strong analytical skills and attention to detail
Proficiency in financial software, ideally NAV
Qualification:
Relevant tertiary degree in Finance or Accounting
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