Are you a finance whiz with an eye for detail and analytical in nature? We're looking for a proactive, organized, and trustworthy professional to handle balance sheet reconciliations, tax returns, and treasury duties for our group companies. If you are a self-starter, and can work with minimal supervision, we want you!
As a Financial Accountant, your key responsibilities will include:
Preparing balance sheet reconciliations, including fixed asset registers, debtors, creditors, and payroll reconciliations, ensuring accuracy and compliance.
Handling statutory returns such as IT14, provisional taxes, EMP 201, VAT 201, and tax-related submissions while adhering to tax regulations.
Assisting with interim and year-end audits, providing necessary documentation and support.
Managing the banking/treasury function, including loading payment instructions via online banking systems.
Supporting ad hoc finance projects and tasks as needed to ensure smooth operations.
We require:
Grade 12 pass with relevant Accounting qualification essential
At least 5 years' experience as an Accountant preparing balance reconciliations and Income tax returns
Experience preparing Annual Financial Statements on Draftworx or similar advantageous
Intermediate Excel skills
Working knowledge of Sage Intact advantageous
Become an integral part of our team where precision, teamwork, and continuous improvement are not just ideals but integral components of our daily operations. Apply now and help us keep our finances flawless.
We are committed to providing equal opportunities to all applicants from diverse backgrounds. Please note only candidates meeting the specified criteria will be considered.
If you do not receive a response within 14 working days, please consider your application unsuccessful. We appreciate your interest in joining our team and wish you success in your future endeavours.
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