Key responsibilities will include:
- Maintain the general ledger
- Preparation and review of balance sheet reconciliation's
- Profit and loss reporting
- Forecasting and budget preparation cycle.
- Managing the audit schedule and respond to internal and external requests.
- Preparation and review of the month-end process.
- Conduct thorough cost analysis including providing recommendations for change.
- Managing the fixed asset register for multiple entities
- Preparation of full-year statutory reporting
You will be rewarded with a thriving business in a feel good sector and supported by a fantastic team culture.
If this of interest, please hit 'apply'