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Insurance Financial Manager (Sage Intact+ Caseware),

Rakkgalakane

Gauteng

On-site

ZAR 1 200 000

Full time

30+ days ago

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Job summary

An established industry player is seeking an Insurance Financial Manager to drive financial performance and stability within their division. This role involves creating and implementing financial strategies, preparing budgets and financial reports, and ensuring compliance with international standards. The ideal candidate will have a strong background in the insurance industry, with expertise in financial reporting and analysis. Join a dynamic team where your contributions will directly impact the company's financial health and success, and enjoy a rewarding career in a supportive environment focused on growth and excellence.

Qualifications

  • 3 years in the insurance industry and regulations.
  • Strong knowledge of financial reporting standards.

Responsibilities

  • Implement financial strategies for division's health and stability.
  • Prepare budgets, financial reports, and forecasts.
  • Manage internal and external audit processes.

Skills

Knowledge of International Financial Reporting Standards
Financial Strategy Development
Financial Performance Analysis
Sage Intact
Caseware
Microsoft Office - Excel
Microsoft Office - Word
Microsoft Office - PowerPoint

Education

B Com
Honors Degree
Completed Articles

Tools

Sage Intact
Caseware
Microsoft Office

Job description

Insurance Financial Manager (Sage Intact+ Caseware), Centurion, R1.2k tctc

Qualifications:

  1. B Com + Honors + Completed Articles
  2. Knowledge of International Financial Reporting Standards
  3. 3 years in the insurance industry and regulations
  4. Sage Intact
  5. Caseware
  6. Microsoft Office – Excel, Word, PowerPoint

Responsibilities:

  1. Create and implement financial strategies to ensure the financial health and stability of the division.
  2. Work closely with senior management and other team members to drive financial performance and achieve business objectives.
  3. Capture non-claims related source documentation.
  4. Prepare all financial reconciliations.
  5. Review and approve payment requisitions prior to submission and approval by the Executive.
  6. Manage month-end closing process and preparation of control account reconciliations.
  7. Prepare monthly management accounts.
  8. Prepare budgets, financial reports, forecasts, and performance analysis.
  9. Manage the internal audit and external audit processes in conjunction with the Finance Executive.
  10. Prepare annual financial statements and reports, ensuring accuracy and compliance with International Financial Reporting Standards, industry standards, and regulations.
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