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Financial Accountant Midrand

Smith Garb

Gauteng

On-site

ZAR 300,000 - 700,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a skilled Accountant to join their dynamic team in Midrand. This role involves overseeing the full accounting function, including GL reconciliations, management statement preparation, and tax return submissions. The ideal candidate will possess a B (Accounting) degree, have completed SAICA articles, and bring valuable experience from the Mining or Construction sectors. If you're looking to make a significant impact in a supportive environment that values your expertise, this opportunity is perfect for you.

Qualifications

  • Completed B (Accounting) degree with SAICA articles and 2 years post-articles experience.
  • Experience in Mining/Construction sector preferred.

Responsibilities

  • Responsible for the full accounting function and GL account reconciliation.
  • Prepare management statements and handle VAT account reconciliations.
  • Manage cashflow planning and payment of creditors and salaries.

Skills

Accounting
Financial Reporting
Reconciliation
Tax Preparation
Costing Analysis

Education

B (Accounting) degree

Tools

SAP B1

Job description

Reference : JHB-JO-1

Well-established Multi-national company based in Midrand, has an opening for an Accountant to join their team.

Successful incumbent will report directly to the Financial Manager.

Duties & Responsibilities

A completed B (Accounting) degree is essential, with completed SAICA articles and 2 years post-articles experience, or a completed B (Accounting) degree with 3-4 years commercial experience preferably within the Mining / Construction sector.

SAP B1 experience highly advantageous.

Duties include:
  1. Responsible for the full accounting function
  2. Reconcile the GL account
  3. Trial balance
  4. Compile management statements weekly
  5. Processing of cashbook, debtors, creditors, costing and revenue analysis
  6. Sub-contractors reconciliations
  7. Payment of creditors and salaries
  8. Depreciation of assets
  9. Reconciliations of the VAT account and import VAT account
  10. Preparation of tax as well as NAMRA tax returns
  11. Product costing (BOM calculation and verification)
  12. Identifying cost saving initiatives
  13. Bank reconciliations and cashflow planning and management
Package & Remuneration
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