[ref. g74511417] Financial Accountant - Centurion
Tolcon Group (Pty) Ltd Centurion
Main Job Purpose
The responsibilities of the Financial Accountant include ensuring the accurate execution of the company's accounting and financial activities. Analyse the companyâs economic stability and provide financial information to other departments to support operational, budgeting, and strategic decision-making.The Financial Accountant is also responsible for reporting on costs, productivity, profit margins, and overall Group performance.
Organogram
Reporting to : Acting Group Chief Financial OfficerIndirect reporting lines :Â General Manager/ Business Manager
This Position : Financial Accountant
Subordinate 1st Level : Creditor Clerks
Minimum requirements:
- Grade 12
- Bachelorâs degree in accounting, Finance, or related field.
- A professional accounting qualification (e.g., SAIPA, SAICA, or CIMA) is preferred.
- Experience: Minimum 3â5 years' relevant experience in a financial accounting role or financial management experience.
- Proficiency in accounting software (SAGE Evolution) and Advanced Knowledge of Microsoft Excel.
- Solid understanding of International Financial Reporting Standards (IFRS).
- Familiarity with audit practices and principles. Â
Required Competencies to meet the Job Outcomes:
- Strong analytical and problem-solving skills.
- High attention to detail and accuracy.
- Excellent organisational and time management skills.
- Ability to work independently and under pressure.
- Strong interpersonal and communication skills.
- Ethical, trustworthy, and results driven.
Essential Duties and Responsibilities:
All duties are performed in accordance with client requirements, the Occupational Health and Safety Act, and other applicable legislation.
Financial Reporting and Accounting- Oversee and manage the financial accounting function across multiple projects.
- Prepare and submit monthly invoices with supporting documentation for various projects.
- Process and review journal entries, maintain the general ledger, and perform account reconciliations.
- Preparation of monthly management accounts.
- Analyse financial performance against approved budgets and highlight variances.
- Complete monthly bank reconciliations and process relevant cash book entries.
- Review and release EFTs and other payments in accordance with internal controls.
- Assist in managing daily and monthly cash flow requirements.
- Ensure compliance with tax legislation, financial regulations, and other statutory obligations.
- Support the preparation and submission of VAT, PAYE, and other statutory returns.
- Assist with the annual BEE audit and related reporting requirements.
- Liaise with external auditors during interim and year-end audits.
- Maintain and implement effective financial controls to minimise risk and ensure the integrity of financial information.
- Manage insurance claims and coordinate with insurers for multiple projects.
- Manage and update the fixed asset register in accordance with company policies.
- Oversee trade debtors and creditors control functions to ensure timely collections and payments.
- Preparation of annual financial statements.
- Assist in the preparation of annual budgets and forecasts.
- Fulfil Group Company Secretarial duties as agreed with the Group.
- Provide ad hoc support and undertake special financial projects as required by the Group CFO, Manager and/or GM
- Manage and supervise junior finance staff as allocated.
- Provide mentorship and support to ensure team development and performance.
General:
This job specification outlines the primary duties and responsibilities of the position and is not intended to be an exhaustive list of all tasks that may be required.
Should you not be contacted within 2 weeks, please consider your application unsuccessful
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