years relevant experience. The role is based at Head Office, and is responsible for overseeing, monitoring
Reporting and Treasury:
Group Reporting and Treasury: Lead and guide the Head Office finance department; Manage IFRS compliance, press Prepare group Annual Financial Statements; Prepare Head Office budget and consolidate with group Budget Pack;
raising the relevant journal entry in SAP for head office payments, as well as setting up SAP and Online raising the relevant journal entry in SAP for Head Office payments Setting up SAP and Online Banking EFT the general ledger Exercising control over the Head Office petty cash box, approving petty cash requests
reporting package for consolidation by the group head office team, including management accounts containing
reporting package for consolidation by the group head office team, including management accounts containing
reporting Collaborate and work closely with the Head Office finance to drive change and improvement and train
Experience in working for multiple companies in a Head Office setting. Strong IT skills, proficient in Excel
Accountant situated at the Company’s main / head office in Durban Waterfront PointView to start ASAP
branches within KZN and 2 branches in SANDTON) with Head Offices in Montclair requires an energetic, enthusiastic