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4.045

Audit-Jobs in Südafrika

GL & Treasury Accountant #manufacturing&design

Performability Recruitment

Südafrika
Vor Ort
ZAR 600.000 - 800.000
Vor 30+ Tagen
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Internal Audit-Jobs
GL & Treasury Accountant #manufacturing&design
Performability Recruitment
Südafrika
Vor Ort
ZAR 600.000 - 800.000
Vollzeit
Vor 30+ Tagen

Zusammenfassung

A leading recruitment agency in South Africa seeks an experienced GL & Treasury Accountant for managing financial operations, ensuring compliance, and leading a small team. The ideal candidate has a Bachelor’s degree, a minimum of 5 years in a similar role, and skills in accounting software. This role offers opportunities for process improvements and team leadership, critical for enhancing the financial health of the organization.

Qualifikationen

  • 5+ years of experience in general ledger accounting and treasury management.
  • Strong understanding of accounting principles and practices.
  • Ability to perform under pressure and meet deadlines.

Aufgaben

  • Guide and support a small team of staff.
  • Oversee weekly treasury operations, including cash management.
  • Ensure compliance with accounting standards and internal controls.
  • Prepare and submit monthly financial reports.
  • Implement process improvements to enhance efficiency.

Kenntnisse

Analytical skills
Problem-solving
Leadership
Communication
Attention to detail

Ausbildung

Bachelor's degree in Accounting or related field

Tools

Sage X3
Microsoft Excel
Google Sheets
Jobbeschreibung
About the job

GL & Treasury Accountant — manufacturing & design

The Finance Department requires a highly motivated and experienced GL & Treasury Accountant to ensure the accuracy, integrity, and efficiency of our financial operations. This role is critical in maintaining accurate financial records, managing treasury functions, and ensuring compliance with accounting standards and internal controls. Working closely with various stakeholders across the organisation, the GL & Treasury Accountant will lead a small team, drive process improvements, and contribute significantly to the financial health of the company. This role demands a strong individual contributor with excellent analytical, problem-solving, and communication skills, and a proactive approach to optimising financial processes.

Responsibilities
  • Team Management: Guide and support a small team of staff. Provide on-the-job training and mentorship to junior staff. Foster a collaborative and supportive work environment. Delegate tasks effectively and ensure a balanced workload within the team.
  • Fixed Asset Accounting: Maintain the fixed asset register, ensuring accurate recording of additions, disposals, depreciation, revaluations, and tracking asset movements, transfers, and disposals. Ensure compliance with relevant accounting standards, including IAS 16, and tax legislation. Run fixed asset register system processes, including depreciation and month-end asset closure. Perform periodic fixed assets reviews for changes in useful lives and or impairments and update and reconcile findings within the fixed asset register. Manage the disposal of fixed assets, ensuring compliance with company policies and procedures.
  • Treasury Management: Oversee weekly treasury operations, including cash management, bank reconciliations, and foreign exchange transactions. Monitor cash balances and ensure sufficient liquidity to meet operational needs. Manage bank accounts and perform regular reconciliations, ensuring accuracy and timely identification of discrepancies. Process local and foreign payments, ensuring proper authorization and adherence to internal and exchange controls. Manage and reconcile prepayments and deposits, ensuring accurate accounting treatment and proactively managing renewals and refunds to optimise cash flow.
  • General Ledger Accounting: Oversee the entire general ledger process, from transaction recording to financial reporting. Review and analyse accounting transactions, ensuring proper authorization and adherence to company policies. Ensure timely and accurate processing of journal entries, account reconciliations, and financial reports. Manage and reconcile petty cash, credit cards, and staff advances, ensuring compliance with company policies. Assist with various journal entries including Salary, Accrual, Interest and other journals. Investigate and resolve account discrepancies, escalating complex issues to relevant stakeholders. Prepare and analyse monthly recharge schedules across the Group, ensuring accurate cost allocation. Review and analyse VAT reports, ensuring compliance with tax regulations and accurate VAT accounting.
  • Month-End Responsibilities: Ensure accurate and timely completion of month-end close procedures, including journal entries, account reconciliations, and financial reporting. Ensure general ledger reconciliations and schedules are completed timeously and accurately. Ensure compliance with month-end reporting deadlines.
  • Compliance and Reporting: Ensure compliance with all relevant accounting standards, tax regulations, and internal controls. Assist with internal and external audits, providing necessary documentation and support. Assist with external reporting and submissions including Statistics SA surveys. Prepare and submit relevant reports, including monthly financial reports and regulatory reports. Stay up-to-date on changes in accounting regulations and their impact on financial reporting.
  • Process Improvement: Analyse existing accounting and treasury processes and identify areas for improvement and automation. Implement process improvements to enhance efficiency, accuracy, and controls. Drive automation and the application of best practices within the team.

Proactively identify and address challenges within the department, contributing to solutions and process improvements. This includes undertaking ad hoc tasks and projects as assigned or required, demonstrating flexibility and a strong commitment to supporting the overall success of the finance function.

Qualifications
  • Bachelor's degree in Accounting or related field.
  • Minimum of 5 years of experience in a similar role, with a focus on general ledger accounting and treasury management.
  • Strong understanding of accounting principles and practices.
  • High level of accuracy and attention to detail.
  • Proficiency in accounting software (Sage X3), Microsoft Excel and Google Sheets.
  • Excellent communication, interpersonal, and leadership skills.
  • Strong analytical and problem-solving abilities.
  • Ability to work independently and as part of a team.
  • Ability to perform under pressure and meet deadlines.
  • Strong work ethic and commitment to ethical conduct.

Start your next career today!

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* Der Gehaltsbenchmark wird auf Basis der Zielgehälter bei führenden Unternehmen in der jeweiligen Branche ermittelt und dient Premium-Nutzer:innen als Richtlinie zur Bewertung offener Positionen und als Orientierungshilfe bei Gehaltsverhandlungen. Der Gehaltsbenchmark wird nicht direkt vom Unternehmen angegeben. Er kann deutlich über bzw. unter diesem Wert liegen.

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