Finance Intern
- Recruiter
- Stryker
- Location
- Johannesburg, South Africa
- Salary
- Competitive salary
- Posted
- 20 May 2023
- Closes
- 19 Jun 2023
- Ref
- R497501
- Job role
- Accountant
- Sector
- Accounting - Public practice
- Experience level
- Entry level, Internship
Work Flexibility: Hybrid or Onsite
• Ensure that Stryker's Compliance and Ethics program is followed at all times and that there is strict adherence to the Code of Conduct in all interactions
• Responsible for providing regular feedback on performance of cost centers and allocated business units & General Ledger accounts.
• Assisting in the performance of month end close processes with adherence to reporting deadlines and assisting Finance Management with related tasks
• Reconciling key Balance Sheet accounts using Blackline Reconciliation Software including substantiating the balance through support or calculation, identifying reconciling items, timely clearance of reconciling items
•
• Prepare monthly cost Centre reporting to the business (BU P/L) & presentation of such.
• Perform ad hoc queries as requested by Management and the business
• Identification of cost saving opportunities and driving these through the business by implementing/monitoring operational initiatives.
• Bank/ posting banks transactions to the General Ledger and performing bank reconciliations
• Co-ordinate all finance communications as per guidance of Finance Manager.
• Attend to administrative matters of the Financial Reporting and Analysis function of Finance.
Travel Percentage: None
• Ensure that Stryker's Compliance and Ethics program is followed at all times and that there is strict adherence to the Code of Conduct in all interactions
• Responsible for providing regular feedback on performance of cost centers and allocated business units & General Ledger accounts.
• Assisting in the performance of month end close processes with adherence to reporting deadlines and assisting Finance Management with related tasks
• Reconciling key Balance Sheet accounts using Blackline Reconciliation Software including substantiating the balance through support or calculation, identifying reconciling items, timely clearance of reconciling items
•
• Prepare monthly cost Centre reporting to the business (BU P/L) & presentation of such.
• Perform ad hoc queries as requested by Management and the business
• Identification of cost saving opportunities and driving these through the business by implementing/monitoring operational initiatives.
• Bank/ posting banks transactions to the General Ledger and performing bank reconciliations
• Co-ordinate all finance communications as per guidance of Finance Manager.
• Attend to administrative matters of the Financial Reporting and Analysis function of Finance.
Travel Percentage: None
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