Senior Finance Administrator
Cape Town Head Office | On-site If cashbooks, bank reconciliations, and cashflow reporting are your strong suit, this is a head office role where precision counts and your work is visible.
You will own the full cashbook function, manage weekly bank reconciliations, and prepare accurate daily, weekly, and monthly cashflow reports for management.
The role includes full forex administration, from exposure schedules and foreign payments to FECs and recording gains and losses. VAT will form part of your responsibilities, including monthly CSA and CAH returns, reconciliations, and handling SARS queries.
You will also complete balance sheet reconciliations, assist with budget versus actual reporting, and support audits with schedules and queries.
To be successful, you will need:
- A Degree in Finance
- 23 years experience in bank and general ledger reconciliations
- Experience working on accounting systems
- Strong understanding of cash flow and cash position
- Advanced Excel skills
- Manufacturing or industrial environment exposure is a nice-to-have
This role suits someone who enjoys structure, accountability, and being relied on to keep the numbers tight.
If this sounds like you and you are ready for a role where your attention to detail matters, apply now, and lets start the conversation.
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