Senior Accountant (Olifantsfontein) (Gauteng)

 

Recruiter:

Career Circuit

Job Ref:

Senior Accountant (..

Date posted:

Thursday, March 17, 2022

Location:

Olifantsfontein, South Africa

Salary:

Market Related


SUMMARY:
Senior Accountant (Olifantsfontein) (Gauteng)

JOB DESCRIPTION:

Oversee the end-to-end financial function and budgeting process, analyses and reports

on the financial health of the companies and group.

Minimum Requirements:

vGrade 12;
vDegree in Accounting, Auditing or Financial Management;
vPost graduate degree an advantage;
vMember of an accounting body an advantage;
v10+ years experience in financial management;
vExperience in group consolidations, foreign exchange and manufacturing a must;
vExperience on Zoho & Pastel an advantage;
vHigh level of technical accounting knowledge;
vBusiness and results oriented & Strong level of professional maturity;
vExcellent computer literacy.

 

Responsibilities:

ØCompile budgets to support the company’s short- and long-term strategic plans;
ØCreating long term forecasts to guide executive decision-making and facilitate fund raising;
ØReporting actual performance against budgets & proposing remedial actions where necessary;
ØProactively driving the financial performance of the group;
ØMaintaining awareness of changes in the financial industry, regulations, best practices and technologies, etc;
ØManage all insurance policies for the group;
ØEnsuring good Corporate governance in line with best practices;
ØAct as a financial partner to department heads and subsidiaries;
ØContract and terms negotiations;
ØMonthly reporting on management accounts and financial analysis as needed, including consolidation across entities using different currencies;
ØFacilitate financial audits to completion and adoption of Audit Financial Statements;
ØPreparing financial reports for the Board of Directors and Shareholders;
ØManage financial controls and accounting procedures for accurate and up to date accounts;
ØProducts costing and monitoring and reporting on profitability of product lines;
ØAsset management, including fixed assets and current assets (incl. debtor management);
ØCash flow forecasting, management and treasury functions, including capturing bank transactions and bank reconciliations;
ØReview creditor reconciliations prior to payments;
ØPayroll administration across the group (Weekly and Monthly);
ØEnsuring regulatory and statutory compliance (Local and Foreign - with assistance from CPA’s for foreign entities);
ØMonitoring and mitigating credit risk; foreign exchange risk and liquidity risk;
ØManage, recruiting, inducting, developing and evaluating accounting and administrative staff;
ØInstill a company wide culture of frugality and financial discipline;
ØContinuous improvement of processes and procedures and compliance with the Quality Management System.

 

NB! This job is now closed. You can apply for other jobs by uploading your CV.



 

 

 

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