Financial Reporting & Analysis: Prepare monthly management accounts, financial statements, and insightful financial performance reports
Budgeting & Forecasting: Drive the annual budgeting process, analyze variances, and recommend corrective actions
Cash Flow & Treasury Management: Monitor and manage cash flow, optimize inventory and accounts payable, and maintain banking relationships
Tax Compliance & Auditing: Coordinate external audits and ensure tax compliance with timely submissions
Team Leadership: Lead and support the finance team, review outputs, and oversee daily financial operations
Process Improvement & Projects: Enhance finance processes, support other departments, and optimize ERP systems for streamlined reporting
Skills & Experience:
Minimum 3 - 5 years of experience in a managerial position
Advanced Excel skills and proficiency in ERP systems, such as Syspro or equivalent
Strong problem-solving abilities with a keen attention to detail.
Focus on improving financial processes and systems
Strong communication skills
Qualification:
BCom + articles + experience
CA(SA) preferred
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