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Finance and Accounting Manager

Dina Gates Recruitment (Pty) Ltd

Langebaan

Hybrid

ZAR 300 000 - 420 000

Full time

Today
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Job summary

A recruitment agency is seeking a detail-oriented Finance & Accounting Manager for a remote role requiring onsite presence 6 days per month. Responsibilities include managing full bookkeeping processes, payroll, financial compliance, and reporting across multiple entities. Candidates should have at least 2 years of experience in finance or accounting, a relevant qualification, and proficiency in XERO and Excel. Strong attention to detail and the ability to work independently are crucial.

Qualifications

  • At least 2 years of finance/accounting experience (end-to-end function).
  • Comfortable managing multiple entities and multi-currency transactions.
  • Confident working independently and meeting deadlines.

Responsibilities

  • Perform full monthly bookkeeping and accounting processes.
  • Manage the full finance function across four entities.
  • Process monthly payroll using SimplePay.

Skills

Attention to detail
Regulatory compliance
Time management
Multi-currency transactions
Excel proficiency
Experience with XERO
Experience with SimplePay

Education

Relevant tertiary qualification
Completed matric

Tools

XERO
Excel
SimplePay
GAAP
PILOT
MICROS
Job description
FINANCE & ACCOUNTING MANAGER

We are looking for a detail-oriented and experienced Finance & Accounting Manager. If you pride yourself on accuracy, timeliness, and regulatory compliance we would love to talk to you!

SCOPE OF WORK
Bookkeeping & Accounting
  • Perform full monthly bookkeeping and accounting processes
  • Manage the full finance function across four entities, including entities with multi-currency bank accounts
  • Reconcile monthly bank statements to customer receipts and supplier payments
  • Capture and post supplier and customer invoices to correct GL accounts
  • Process and reconcile intercompany invoices
  • Maintain and update the fixed asset register, including registering new assets
  • Process petty cash journals
  • Prepare accrual schedules with supporting documentation
  • Clear and reconcile suspense accounts
  • Maintain accounts payable age analysis and clear outstanding balances
  • Resolve supplier queries and discrepancies
  • Assist with annual audit preparation and supporting documentation
  • Reconcile and maintain cash flow, published weekly (month-to-date)
  • Link invoices to purchase orders (via XERO and/or Excel)
  • Prepare weekly and monthly payment runs in line with approved cash flow
  • Prepare and maintain monthly Profit & Loss statements
Payroll & Statutory Compliance
  • Process monthly payroll using SimplePay
  • Onboard new employees and process terminations and final settlements
  • Prepare and submit EMP201 and EMP501 returns
  • Prepare and submit bi-monthly VAT returns
  • Manage UIF, VAT, ETI Claims and COID registrations and ongoing compliance
  • Maintain and update annual leave records
  • Manage CIPC compliance, including:
    • Company registrations
    • Director/member changes
    • Annual returns
    • Share certificates and MOI documentation
    • Preparation of resolutions
Administration
  • Draft and submit standard business and financial resolutions
  • Manage general financial and administrative duties as required
  • Briefing management and owners on the financial status of the business as it relates to performance and cash flow, including forecasting and recommendations to improve.
  • Preparing financial statements for the banks.
  • Submitting monthly performance statements to malls and brands.
Deliverables & Reporting
  • Management accounts submitted by the 7th of each month
  • Monthly bank reconciliation reports for all bank accounts
  • Payroll reports prepared, submitted, and filed by the 25th of each month
  • Invoices and Cash Flow Management
  • Payment Terms / Supplier Contract Management
  • VAT and statutory submissions completed in line with SARS deadlines
  • Monthly status update email submitted by the last working day of each month
  • Ongoing weekly and monthly bank, receipt, and payment reconciliations for control and reporting
  • Monthly P&L prepared and published for management review
REQUIREMENTS
  • At least 2 years of finance/accounting experience (end-to-end function)
  • Relevant tertiary qualification - completed matric critical
  • Comfortable managing multiple entities and multi-currency transactions
  • Confident working independently and meeting deadlines
  • Excellent attention to detail and accuracy
  • Experience with XERO, Excel, and SimplePay (highly beneficial)
  • Other system experience (but not mandatory) – GAAP, PILOT, MICROS
  • The position is remote HOWEVER you will be required to be ONSITE FOR 6 DAYS PER MONTH
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