Description
The Group Accountant will support financial and group treasury activities for specific business units, including cashbook updates, foreign exchange transactions, monthly financial and management reporting, cash-flow forecasting, balance-sheet and general ledger reconciliations, bank-account reconciliations, and accurate accounting entries. The role requires a Matric/Grade 12 qualification, a BCom degree, at least three years of Treasury Accountant experience, accounting and foreign-exchange knowledge, strong communication and Excel skills, and the ability to work under pressure in a team environment.
