This opportunity offers hands-on involvement at both divisional and group level, working closely with senior finance leadership in a structured, well-run environment. It’s ideal for someone who enjoys ownership, accountability, and being trusted with important financial processes. This role sits within a professionally managed, multi-entity group that values accuracy, compliance, and financial discipline. You’ll work directly with senior finance leaders and gain exposure across treasury operations, statutory compliance, audit processes, reporting, and payroll. Key Responsibilities Support day-to-day treasury operations including cash management, banking administration, and payment controls. Assist with short- and long-term cash flow forecasting, working capital reporting, and covenant calculations. Support monthly group reporting through reconciliations, variance analysis, and data validation. Assist with tax compliance including provisional tax, EMP201, EMP501, statutory submissions, and audit schedules. Maintain audit documentation and support external audit processes at divisional and group level. Prepare and post payroll journals and assist with payroll and third-party reconciliations. Job Experience and Skills Required Relevant finance qualification (BCom, BCom Accounting, or similar). Fully qualified CA(SA). 2–5 years’ experience in a finance, accounting, or audit support role. Exposure to treasury, tax compliance, audit support, and reporting. Experience within a group or multi-entity environment is advantageous. Strong Excel capability. Experience working with accounting systems and banking platforms. High attention to detail with solid documentation skills. Strong organisational and follow-through ability. Comfortable working to deadlines and with multiple stakeholders. High integrity and commitment to compliance and financial controls. Apply Now! #J-18808-Ljbffr