Job Description

Key Responsibilities

  • Prepare monthly journals and management reports

  • Perform bank, supplier, customer and general ledger reconciliations

  • Assist with month-end and year-end reporting

  • Manage fixed assets and depreciation

  • Prepare statutory returns and working papers (VAT, PAYE, UIF)

  • Monitor accounts payable and receivable

  • Perform inventory accounting and stock reconciliations

  • Analyse manufacturing costs and investigate variances

  • Assist with budgeting, forecasting and cash flow reporting

  • Support audits and ensure compliance with financial controls

  • Drive process improvements and automation initiatives

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