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Financial Accountant

Our well known and much loved client is currently looking for an experienced Financial Accountant to join their dynamic team.


  • Financial Accounting - To Prepare Technically Correct and Accurate Financial Statements (Group and Family)
  • Income Tax and VAT - To Prepare Valid, Accurate and Complete Company Tax Returns in Accordance with Income Tax Act (Group and family)
  • Internal Control - To Implement, Monitor and Maintain Required Internal Controls to Mitigate Financial Risks of the Companies.
  • Accounting System Management (Pastel)
    • General Housekeeping
    • Product pricing, reviews, etc.
  • Reporting and financial hygiene
    • Preparing monthly management accounts
    • Drawing up budgets and forecasts
    • Managing the annual audit process
    • Designing and implementing appropriate financial controls
    • Managing the preparation of the monthly recon file
    • Investigating anomalies in the numbers, picking up on trends and advising the MD on opportunities to improve cost control or to maximize profitability
    • Doing ad hoc financial analysis as required
    • Manage Company Assets
  • Insurance - Liaison with Local Insurance Brokers. Prepare the Annual Insurance Declaration, and Valuation of Company Assets.
  • BBBEE – Oversee compliance
  • Banking – Full function
  • Oversee debtors and creditors
    • Customer collections
    • Liaising with Debt Collecting company
    • Liaising with Sales Team
    • Customer Deal reviews and approvals
    • Customer Equipment Financing
    • Contracts and Tenders
    • Managing Customer online portals
  • Oversee Supplier accounts
    • Payment terms
    • Updating of details and document submission
    • Contracts
  • Suppliers
    • Maximising benefits, deals, terms, etc.
    • Compliance
  • Payroll - Full Function
    • Including Commission Structures and Incentives
    • Employee Benefits
    • Employee Cost Analysis
  • HR – Participate in hiring
  • Cash flow management
    • Controlling debtors within due date
    • Checking creditor payments
    • Determining appropriate stock levels
    • Engaging with the banks/lenders where required
    • Cashflow forecasting
  • Budgeting
  • Develop and support achievement of performance goals, budget goals, team goals, etc.
  • Forex


Qualifications/ Experience:

  • Accounting Qualification
  • 3- 5 years experience

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