Finance Manager
Cash Flow Management
○ Monitor daily, weekly, and monthly cash flow across all business units
○ Prepare cash flow forecasts and projections
○ Manage working capital effectively
Bank Account Management
○ Oversee and manage all company bank accounts across different institutions and branches
○ Monitor balances, transactions, and cash positions daily
○ Perform bank reconciliations for all accounts
○ Control payments, transfers, and deposits
○ Maintain relationships with banking partners
○ Manage banking facilities, including overdrafts.
Oversee debtor accounts and collections processes
○ Monitor outstanding balances and ageing reports
○ Implement credit control measures
○ Reduce overdue accounts and improve collection periods
○ Liaise with clients on payment arrangements
Creditors / Accounts Payable
○ Manage all supplier and creditor payments
○ Ensure timely processing of invoices and reconciliations
○ Maintain positive supplier relationships
○ Monitor payment terms and optimize cash outflows
Budgeting & Forecasting
○ Prepare annual budgets and periodic forecasts
○ Monitor departmental spend against budget
○ Conduct variance analysis and provide corrective recommendations
○ Support management in financial planning and cost control
○ Asset Register for the company
B-BBEE Compliance
○ Oversee B-BBEE reporting and compliance requirements
○ Coordinate with verification agencies and consultants
○ Support procurement and enterprise development initiatives
SLA (Service Level Agreement) Management
○ Monitor financial compliance linked to SLAs
○ Track supplier and service provider performance
○ Ensure contractual financial obligations are met
○ Assist in SLA negotiations and renewals
Financial Reporting
○ Prepare monthly management accounts
○ Compile financial reports for executive management
○ Present profit and loss statements, balance sheets, and cash flow reports
○ Ensure accurate and timely reporting
Tax & Statutory Compliance
○ Manage VAT, PAYE, UIF, and other statutory submissions
○ Ensure compliance with SARS requirements
○ Liaise with auditors and tax consultants
Financial Controls & Risk Management
○ Implement and maintain internal financial controls
○ Conduct risk assessments and fraud prevention measures
○ Ensure audit readiness and compliance
Team Leadership
○ Manage and mentor finance staff
○ Improve finance processes and operational efficiencies
○ Support strategic financial decision-making