Job Summary
Job Description:
Reporting to the Finance Manager, your duties will be:
Managing daily cashflow, liquidity, banking, and payment cycles
Ensuring accurate creditor, subcontractor, and project‑related cost allocations
Producing timely financial reporting, including cashflow forecasts, budgets, and variance analysis
Maintaining financial compliance (IFRS, Companies Act, SARS)
Strengthening internal controls and supporting audit processes
Driving system accuracy and optimisation across financial platforms
Skills & Experience:
3+ years in a Treasurer, Accountant, or similar finance role
Proven experience working in a fast‑paced, high‑volume environment (construction or project‑based considered an advantage)
Strong technical knowledge of IFRS, Companies Act, SARS regulations
Advanced MS Excel skills and experience with accounting systems (BuildSmart advantageous)
Ability to work accurately under pressure while maintaining strict financial governance
Qualification:
BCom Accounting degree or relevant financial qualification
Professional affiliation (SAIPA / CIMA) beneficial
Contact BRITNEY HATTINGH on 021 418 1750, quoting the Ref: CTF022523.
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