Vacancy Description
Prepare monthly, quarterly, and annual financial reports in line with IFRS for SMEs
Maintain and reconcile general ledger accounts and process journals
Perform bank reconciliations and support cash flow management
Analyse financial results and provide variance commentary
Assist with budgeting and forecasting processes
Ensure compliance with tax legislation and statutory requirements
Prepare and submit VAT and other statutory returns
Support internal and external audit processes and maintain controls
Monitor financial transactions for accuracy and completeness
Identify and implement improvements in financial processes and systems
Oversee and manage a small finance team - 4 staff members
Work closely with the Financial Manager on operational finance activities
Skills & Experience:
Minimum 13 years experience OR completed articles
Strong understanding of financial reporting, recon...
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