Accountant I

PPS

Job Description,

To provide accurate, timely, and insightful financial reporting for glu by overseeing monthly accounting activities, statutory and management reporting, budgeting, financial controls, and compliance processes. The role is responsible for maintaining the integrity of financial information, supporting strategic decision-making through financial analysis, and driving continuous improvement through the automation and enhancement of finance processes.

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Requirements,

Education

  • BCom Honours in Accounting or equivalent

Experience

  • Articles experience (preferred)
  • 3–5 years of experience in a commercial finance environment
  • Experience within the insurance or financial services industry (preferred)
  • Practical experience in monthly financial reporting, management accounts, and balance sheet reconciliations

Knowledge And Skills

  • Exposure to IFRS 17 reporting and accounting principles (preferred)
  • Knowledge of income tax, VAT principles and compliance requirements
  • Exposure to data analytics, business intelligence reporting, or financial process automation (preferred)
  • Advanced Microsoft Excel skills

Competencies

  • Strong analytical and problem-solving capability
  • High attention to detail and commitment to accuracy
  • Ability to work independently, manage competing priorities, and consistently meet deadlines
  • Excellent communication and presentation skills
  • Strong interpersonal skills and ability to manage multiple priorities
  • Strong commercial acumen
  • Continuous improvement mindset with a focus on innovation and automation

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Duties and Responsibilities,

Financial Reporting and Reconciliations

  • Prepare and maintain accurate monthly financial records and reporting packs
  • Reconcile all balance sheet accounts to supporting third-party documentation
  • Prepare and process monthly journals and accounting adjustments
  • Perform VAT reconciliations and ensure accurate and timely submissions
  • Investigate, resolve, and clear outstanding reconciling items within agreed timelines
  • Compile monthly management accounts, including variance analysis and commentary
  • Prepare quarterly Board reporting packs and financial presentations for relevant entities
  • Support year-end financial reporting and statutory reporting requirements
  • Respond efficiently to internal and external audit requests and queries
  • Ensure supplier transactions are accurately processed and paid within agreed timelines
  • Perform monthly IFRS 17 accounting and reporting activities
  • Provide financial support for strategic initiatives, projects, and ad hoc business requirements

Budgeting and Planning

  • Coordinate the annual budgeting process for glu in collaboration with business stakeholders
  • Prepare budget models, forecasts, and supporting analyses
  • Monitor financial performance against budget and provide meaningful commentary on variances
  • Develop budget presentations and financial insights for Executive Committee and Board review

Strategic Orientation

  • Prepare key financial reports and presentations for Executive Management and Board stakeholders
  • Contribute to the achievement of business objectives through sound financial analysis and reporting
  • Maintain a robust financial control environment and ensure integrity of general ledger information

How to apply

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