Key Responsibilities
- Support month-end close, including journals, reconciliations and trial balance preparation
- Assist in the preparation of financial statements and statutory reporting requirements
- Maintain the general ledger and ensure integrity of financial data
- Provide analysis and insights to support business decision-making
- Assist with audit processes and liaise with external stakeholders
- Support inventory, asset accounting and balance sheet management
- Contribute to process improvement and system enhancements
- CA/CPA qualified (or working towards)
- Strong grounding in financial accounting and reporting
- Experience in month-end, reconciliations and statutory reporting
- Ability to identify issues and deliver accurate, timely outcomes
- Strong communication skills and ability to work cross-functionally
- Proactive mindset with a focus on continuous improvement

