Manage the full accounting function to trial balance for multiple entities
Ensure accurate allocation of income and expenses to appropriate cost centers
Calculate fee income and prepare monthly management accounts
Conduct detailed reviews and analysis of balance sheet accounts and reconciliations
Draft financial statements in compliance with IFRS and assist with group consolidation
Handle tax computations and submissions, including VAT, STT, and Income tax
Liaise with external auditors and ensure compliance with tax, legislative, and statutory requirements
Evaluate and improve internal controls, driving process automation
Manage daily cash operations and authorize payments on banking platforms
Provide business support and resolve ad-hoc queries
Analyze product costs and contribute to financial decision-making
Skills & Experience:
Minimum 2 years of post-article experience
Experience in the financial services industry is advantageous
Strong accounting background with a good understanding of tax
Previous experience using Sage Evolution or other accounting packages
Advanced proficiency in Microsoft Excel
Qualification:
CA(SA)
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