Key Responsibilities: - Lead and manage the Cashbook Function, addressing all related queries with precision.
- Process and reconcile a diverse range of financial transactions, including the preparation of management account journal entries.
- Prepare and review monthly Income Statement and Balance Sheet Schedules, ensuring accuracy in all reconciliations.
- Handle AP Foreign creditors and evidence of importation with meticulous attention to detail.
- Process invoices for AP Local Creditors as required.
- Keep the Fixed Asset Register updated and reconciled.
- Support month-end roll-over procedures to ensure smooth financial operations.
- Collaborate with Head Office by providing crucial information and reports.
- Play a vital role in the preparation of Cash Flow Computations.
- Assist with internal, interim, and final audit processes, ensuring compliance and efficiency.
- Tackle any ad hoc accounting and finance tasks that come your way with enthusiasm and problem-solving prowess.
- Be available and ready to shine during the financial year-end in December.
What Weâre Looking For: - A BCom Accounting Degree.
- At least 5 years of experience in a similar role, showcasing your expertise.
- Strong Excel skills to navigate complex data and streamline processes.
Why Join Us? Step into a role where your financial acumen will help drive the success of a product loved worldwide. Be part of a supportive and dynamic team that values innovation, quality, and growth. If youâre ready to take your career to the next level, this is the place for you!