Job Summary
Manage all accounting operations, including processing POs, invoices, journal entries, and reconciliations
Prepare and present monthly management accounts for the parent company and subsidiaries to senior management
Ensure the accurate preparation of annual financial statements, coordinating with external accountants
Oversee annual audits and work with auditors
Manage investment transactions, including acquisitions, disposals, and related payments
Supervise and provide guidance to another accountant.
Monitor daily treasury, cash flow, and multi-currency bank activities
Manage payments via online banking and maintain debtor and creditor accounts
Build relationships with private equity partners, managing investments, dividends, and loan repayments
Prepare annual budgets, forecasts, and cash flow, monitoring against actual results
Manage group assets, including real estate, artwork, shares, and funds, identifying risks
Ensure compliance with tax and insurance requirements, working with external advisors
Handle KYC/AML/FATCA/CRS obligations and statutory documentation
Draft contracts and corporate resolutions as needed.
Prepare internal/external reports and serve as the point of contact for stakeholders
Skills & Experience:
Completed articles
Minimum of 2 years of post-article experience
Commercial experience preferred
Strong communication and people skills
Qualification:
Finance related Tertiary qualification
BCom preferred
Completed SAIPA or SAICA articles
Contact ALEXANDRA MALONEY on 021 418 1750, quoting the Ref: CTF020150.
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