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Finance Controller in East London - Image 1
Finance Controller in East London - Image 1
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Finance Controller, East London

Finance Controller, East London
Description

Purpose :

  • This role ensures strong financial control while delivering accurate information to guide operational and strategic decisions. Reporting to the financial manager.

 

Minimum Requirements:

  • Grade 12 (matric) senior certificate
  • CIMA / Diploma or Degree in Accounting or Financial Management
  •  8+ years' experience in a Financial Controller position
  • Computer Literacy - Experience with MS Office - Advanced Excel
  • Knowledge of BPCS Accounting system (Highly Advantageous)
  • Experience in the Motor Industry (Highly Advantageous)

 

Key Responsibilities:

Financial Reporting:

  • Prepare financial reports and returns for internal and external use
  • Provide financial analysis and support to plant management and all operational areas of the business
  • Review and action Financial variances (Budget / Forecast / Estimate)
  • Ensure compliance with IFRS
  • Submission of monthly and annul reports on reporting platform (Onestream)

General Ledger:

  • Prepare provisions and accruals
  • Prepare general ledger journals with appropriate support
  • Prepare monthly general ledger reconciliations (BS & IS) in line with group requirements and action variances
  • Ensure timely and accurate closing from a GL point of view

Internal control:

  • Ensure compliance to Global Control Framework (GCF) and Delegation of Authority (DoA) and company policies and procedures
  • Prepare and submit monthly Control checks allocated as per Global Control Framework (GCF)
  • Maintain the risk register.

Budget / Forecast:

  • Prepare detailed plant budget and medium term forecast anually with colaboration of plant management
  • Prepare monthly short term forecast (P/L & BS)
  • Prepare weekly flash and month-end estimate

CAPEX, Tooling & Fixed assets:

  • Prepare & maintain a CAPEX and Tooling reports & register tracking actual spend against approved spend, planning future profitability & cash flows of the projects
  • Prepare CAPEX requisition with all relevant information regarding the CAPEX project
  • Support useful life and residual value of Fixed Assets analysis
  • Perform asset verification

Audits and Year-End Processes:

  • Prepare and plan Year-end Statutory Audit (external and internal) in line with the consolidated Audit plan
  • Prepare reporting Accounting, Audit and Tax Packs
  • Support in providing information on internal audit, and closure of findings stemming from internal audit
  • Support with BBBEE audit

Costing:

  • Calculate landed cost on import shipments
  • Prepare / review BOM's, Cost sets / cost buckets
  • Investigate Purchase price variances (PPV)
  • Generate variance report of Actuals to budget information
  • APDP & EUR 1 submissions

NWC & Cash management:

Stock:

  • Oversee Stock Takes & assist with investigating stock count variances
  • Review maintenance spares, obsolete stock and NRV of stock

Debtors Management:

  • Review debtors age analysis, providing an analysis and action plans for debt collections
  • Review / approve credit notes within limit of authority

Creditors:

  • Review Creditors age analysis and GRNI providing an analysis and action plans
  • Approve requisitions within limit of authority
  • Review and authorise Creditors payments
  • Review weekly payroll

Cash:

  • Prepare cashflow
  • Monitor daily cash position and cash flows to ensure settlement and maximise performance

Intercompany:

  • Perform Intercompany reconciliation and ensure zero clockouts at month-end

Forex:

  • Prepare Forex Forecasts
  • Book FEC contracts-based on AP requirement & review Excon applications."

Statutory Returns and taxes:

  • Prepare VAT return and checklist
  • Support process of WCA, PAYE and Provisional/Income Tax returns
  • Prepare Government Incentive Applications
  • Prepare BBBEE reports and information

Insurance:

  • Prepare Insurance Declarations
  • File claims for losses

Continuous Improvement:

  • Identify improvement opportunities and make recommendations for improvements
  • Participate in Continuous improvement initiatives

Other:

  • Compile and review sales reports
  • Performs other related duties as assigned

Key Skills and Competencies:

  • IFRS compliance
  • An extensive and complete knowledge of accounting principles and practices
  • Strong analytical abilities
  • Self-directed with a high degree of self- motivation
  • Proficient computer skills and abilities with Microsoft Office products (Outlook, Excel, PowerPoint, etc).
  • Excellent written and verbal communications skills
  • Solid ERP experience (BPCS advantageous)
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Finance Controller has been posted in the East London Accounting, Financing & Banking category on Locanto.

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