Job Description FINANCE MANAGER CA(SA) - R60k pm - BELLVILLE
A Leader in the Financial Services Sector is looking for a FINANCE MANAGER to join their team.
BENEFITS:
- Large Group Holding Company
- Room for Growth
- Young Dynamic Team
Requirements
- CA (SA)
- 3 + years’ relevant experience (Financial Services)
- Strong technical skills, including sound IFRS knowledge
- MS Excel, MS Word, MS Outlook
- Experience in SAP, Great Plains, Accpac advantageous
RESPONSIBILITIES:
- Review of monthly accounting processing
- Compiling of management reports and analysis
- Cashflow and investments management and approving of payments and collections
- Assist with budgeting and forecasting
- Ensuring all control accounts, balance sheets and income statements are reconciled on a monthly basis
- VAT and Income tax calculations and returns
- Statutory and regulatory returns
- Compilation of the annual financial statements in terms of IFRS
- Assist Regional Managers with financial information
- Liaising and assisting with internal and external auditors
- Resolving reconciling and long outstanding items on balance sheet reconciliations
- Systems, processes and internal control improvements
- Assist with ad hoc queries until resolution
Benefits
- Large Group Holding Company
- Room for Growth
- Young Dynamic Team
APPLY TODAY
Requirements CA (SA) 3 + years’ relevant experience (Financial Services) Strong technical skills, including sound IFRS knowledge MS Excel, MS Word, MS Outlook Experience in SAP, Great Plains, Accpac advantageous RESPONSIBILITIES: Review of monthly accounting processing Compiling of management reports and analysis Cashflow and investments management and approving of payments and collections Assist with budgeting and forecasting Ensuring all control accounts, balance sheets and income statements are reconciled on a monthly basis VAT and Income tax calculations and returns Statutory and regulatory returns Compilation of the annual financial statements in terms of IFRS Assist Regional Managers with financial information Liaising and assisting with internal and external auditors Resolving reconciling and long outstanding items on balance sheet reconciliations Systems, processes and internal control improvements Assist with ad hoc queries until resolution