Essential Requirements
- 5+ years’ experience as an accountant in a mid-size company
- Significant experience with accounting software packages
- Tertiary Qualification in Accounting - CPA or CA Professional Membership
Desirable Requirements
- ERP Pronto and Xero experience is highly desirable to secure this role
- Experience with Receiptbank and Jitbit
- Supervisory experience
Job Responsibilities
Budgeting/Forecasting and Cash-Flow
•Analyse financial information and summarise financial status Prepare
financial statements and produce budget according to schedule
Prepare and maintain Profit And loss, cash-flow, balance sheet
budgets
- Maintenance of financial reporting tools and processes.
- Participate in financial standards setting and forecast process
- Work with Budget Owners to get an understanding of performance.
Lead budget variance commentary and reporting.
• Target areas of expense overruns/inconsistencies and implement
corrective measures.
• Prepare daily cash-flow projections and provide analysis for forecast
variances
- Monitor daily cash positions
- Report on cash operation activities
Perform special balance sheet, cash flow and financial analysis
projects as directed.
19SRL41824