.About brsk We are a dynamic and rapidly growing full fibre provider that is rolling out our 1 gigabit per second broadband network to homes and businesses across the UK. Our founders built Vumatel, South Africa's largest FTTP network and have brought these learnings to the UK and we are now one of the fastest growing Altnets in the UK. What sets us apart? What sets us apart? You do, each one of us has a voice and collectively contribute to building brsk. We have a very high employee engagement score, and our teams feel connected and empowered at brsk. If you want to work somewhere you can have a real impact and believe you can work and deliver great results in a fast-paced environment, then this may be the role for you. This role is based in South Africa. About The Role We're looking for a resourceful and experienced Management Account to work with our Financial Manager to assist with all finance functions for our Fibre Network Operator (FNO) business, including reporting, stock management, balance sheet management and to assist in the smooth running of our FNO finance function. You need to be a self-starter who thrives in a fast-paced environment, willing to roll up your sleeves and get stuck in. This role is based in South Africa. Responsibilities Monthly Accounting Processes: Assisting the Financial Manager with monthly capitalisation schedule for all Construction Work in Progress across all asset's classes. Assisting the Financial Manager with the prepare and maintain Fixed Asset Register (FAR) accounts for all assets classes. Assisting the finance team with stock management which include timely stock transfers between group of companies. Assisting the Finance Team with processing monthly prepayments, accruals and other ad hoc entries as required. Assisting the Financial Manager with calculation and recording of monthly intercompany expense on charges. Assisting the Financial Manager with calculation and recording of monthly intercompany loan transactions. Assisting the Finance Team with processing monthly customer invoices and overall recovery Perform monthly balance sheet reconciliations to ensure accuracy and compliance. Reporting : Assisting the Financial Manager with updating of monthly / quarterly finance reports including: AFS, Revenue, Commercial, CPPC, CPPP, Trading and Board reports. Assist in budget preparation and management. Prepare ad hoc reports as required. Prepare Ofcom reports for regulatory compliance