Financial Manager CA (SA)

Jackie Cory Recruitment

Oos-Kaap

On-site

ZAR 500,000 - 800,000

Full time

14 days+

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Job summary

Jackie Cory Recruitment is seeking a skilled financial professional based in Oos-Kaap, South Africa to oversee financial reporting and compliance. The role involves preparing financial reports, ensuring accurate accounting practices, and leading audit processes.

The ideal candidate will also manage complex tax compliance and intercompany transactions, providing guidance on financial implications in operational decisions. This position supports robust internal controls and financial discipline across the organization.

Responsibilities

  • Prepare and review monthly, quarterly, and annual financial reports.
  • Ensure accuracy, completeness, and compliance with applicable accounting standards.
  • Deliver detailed analytical reporting and financial insights to support operational performance.
  • Interpret financial data and identify trends, risks, and opportunities.
  • Lead and coordinate internal and external audit processes.

Job description

Key Responsibilities
  • Prepare and review monthly, quarterly, and annual financial reports
  • Ensure accuracy, completeness, and compliance with applicable accounting standards
  • Deliver detailed analytical reporting and financial insights to support operational performance
  • Interpret financial data and identify trends, risks, and opportunities
  • Lead and coordinate internal and external audit processes
  • Ensure full compliance with statutory, regulatory, and internal governance requirements
  • Address audit findings and implement corrective actions
  • Maintain robust internal controls across financial processes
  • Oversee tax compliance, including corporate tax, VAT, and other statutory obligations
  • Liaise with tax advisors and regulatory authorities where required
  • Ensure accurate and timely submission of all tax returns
  • Provide guidance on tax implications relating to business operations and intercompany transactions
  • Manage complex intercompany transactions and reconciliations
  • Ensure proper accounting treatment across multiple entities
  • Maintain alignment with group reporting requirements and standards
  • Support consolidation processes where applicable
  • Partner with operational teams to ensure financial discipline and accuracy
  • Provide financial input into operational decision-making
  • Support process improvements and system enhancement
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