Position Overview
- Perform month-end, quarter-end, and year-end closing, including journals, accruals, and provisions
- Maintain general ledger and prepare balance sheet reconciliations
- Manage fixed assets, including capitalization, depreciation, disposals, and FA register reconciliation
- Support quarterly group reporting, reporting packs, and variance analysis
- Assist in drafting year-end Audited Financial Statements (AFS) and audit schedules
- Perform key financial controls testing and support internal control reviews and process improvements
- Handle retail accounting areas such as commercial billing validations
- Liaise with Group Finance, auditors, and internal stakeholders
- Support ad-hoc finance projects and management reporting as required
Requirements
- Degree in Accounting/Finance
- Professional accounting qualification (e.g. ACCA, CPA, CA – partial or full) is an advantage
- 1-2 year...