Financial Management & Reporting:
Analyze General Ledger accounts and manage month-end closings.
Oversee Accounts Payable and Accpac ERP processes.
Conduct bank reconciliations and cashflow updates.
Account Reconciliation & Treasury Oversight:
Perform monthly reconciliations and manage asset records.
Handle petty cash and SAP order processing.
Ensure accurate bank instructions.
Compliance & Support:
Assist in audits and maintain bank statements.
Ensure statutory compliance and handle admin tasks.
Quality & Customer Service:
Prioritize customer service and report quality issues.
Monitor safety concerns and adhere to company procedures.Qualifications:
Bachelor's degree in Finance, Accounting, or related field.
2-3 years experience in a similar role
Proficiency in ERP systems (Accpac, SAP) and MS Office Suite.