Accountant
- Posted 4 days ago
- Be among the first 10 applicants
Job Description
About the Role
Join our finance team to manage day-to-day accounting operations across a fast-paced, multi-entity business.
Responsibilities
- Cash & Expense Management — Process and verify petty cash and credit card expenses (local purchases, fuel, staff welfare, vehicle maintenance, and related costs), route approvals per policy, and reconcile spending against monthly limits.
- Sales Accounting — Manage invoicing, cash deposits, and receipt allocation across multiple sales channels (bulk, retail, and field/van sales), ensuring all collections are accurately matched to open invoices.
- Toll & Logistics Postings — Extract and process toll usage data, coordinate cost allocations with the logistics team, and post entries across business entities within monthly deadlines.
- Provisions & Reconciliations — Prepare discount and sponsorship provisions, run reconciliations at month-end close, and maintain accurate trial balance and contract tracking records.
- Accounts Receivable — Issue customer statements, reconcile ledgers, post and allocate receipts, and manage rebates for key accounts.
- Financial Controls — Complete monthly control account reconciliations to ensure accuracy across the group.
Required Skills
- A detail-oriented finance professional with strong reconciliation skills, comfort managing multiple deadlines, and experience working across diverse business functions and stakeholders.
More Info
Key Skills
Cash Expense Management
Provisions Reconciliations
Toll Logistics Postings


