Key Responsibilities Reconciliation of online vouchers; Reconciliation of Dineplan; Management of Ironwood Trustees reconciliation; Reconciliation of Balance Sheet Accounts; Daily and month-end accounting over various sub-processes; Assist Accountant with management of assets; Internal audit role such as test checking of key P&P on a periodic basis and managing internal audit feedback checklist; Responsible for / assist with any special projects / assignments as requested from time to time by the DoF / FM / Accountants; Back up to key roles to allow for segregation of duties and continuity. Requirements Tertiary finance qualification an advantage; Excellent computer literacy (advanced knowledge of MS Excel essential); Comfortable interacting with internal clients at senior level; Excellent written and verbal communication skills; Deadline orientated. #J-18808-Ljbffr