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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