Please note that our Terms & Conditions and Privacy Notice are applicable.
On Promotion in Jobs
Pay & Ship
Buy with confidence. Secure payment options & nationwide delivery. Learn more
Filter & refine
Clear All
Suggested
Results for bank finance in "bank finance", Full-Time in Jobs in South Africa in South Africa
1
SavedSave
A leading travel & tourism company with an international footprint is looking for a detail-driven, dynamic individual to join their Finance team in a fast-paced environment!Working closely with the Head of Finance and internal teams, you will take full ownership of the accounting function for the business unit, ensuring high-quality, accurate financial reporting, compliance with IFRS standards, strong controls and smooth month-end processes.Responsibilities:Financial Reporting & ComplianceMonth-end close processes, fixed assets, and FX movementsPreparing monthly internal review packs / Compiling VAT reportsInternal and external audit queries /Journals and general ledger processDebtors & Creditors ManagementInvoicing and age analysis reports / Issuing statements / client queriesMonitoring margins / reconciliationsTreasury & FXBank reconciliations / FX revaluations for debtors and creditorsRealized and unrealized FX journals / Statutory requirementsProcess Improvement & Team SupportSystem investigation & improvementsAd hoc finance projects / Financial administrationCriteria:Relevant tertiary financial qualification3-5 years experience in a Financial Accountant roleStrong understanding of IFRS, VAT, and statutory complianceExperience working with debtors, creditors, treasury, and FXExperience in the travel or tourism industry preferrableExposure to multi-currency environments & complex transactions advantageous
https://www.jobplacements.com/Jobs/F/Financial-Accountant-Tourism-1260935-Job-Search-2-10-2026-7-13-55-AM.asp?sid=gumtree
16d
Job Placements
1
SavedSave
Our client with a national footprint within the financial sector seeks the duties of a highly skilled Financial Manager.Key ResponsibilitiesFinancial Strategy & PlanningLead financial planning, budgeting, and forecasting across business units such as lending, investments, insurance, or treasury.Analyse financial performance, product profitability, and cost‑to‑income ratios.Provide strategic insights on capital allocation, liquidity optimisation, and revenue growth opportunities.Support executive decision‑making through scenario modelling and stress testing.Regulatory & Compliance OversightEnsure full compliance with financial sector regulations (e.g., FSCA, SARB, IFRS, Basel III/IV, Solvency II for insurers).Prepare regulatory submissions, prudential returns, and statutory reports.Maintain strong internal controls aligned with governance frameworks and audit requirements.Liaise with regulators, auditors, and compliance teams.Financial Reporting & ControlsOversee accurate and timely preparation of financial statements and management reports.Manage month‑end and year‑end close processes.Ensure adherence to IFRS and industry‑specific reporting standards.Strengthen financial controls across treasury, credit, investment, and operational finance functions.Risk Management & Capital OversightMonitor financial risks including credit, market, liquidity, and operational risk exposures.Support capital adequacy assessments and risk‑weighted asset calculations.Collaborate with risk teams to implement risk mitigation strategies and enhance risk governance.Oversee asset‑liability management (ALM) processes where applicable.Treasury & Cash Flow ManagementManage liquidity, funding strategies, and cash flow forecasting.Oversee investment portfolios, treasury operations, and banking relationships.Optimise interest income, funding costs, and balance sheet structure.Operational Finance LeadershipOversee financial operations including accounts, reconciliations, and financial systems.Drive process improvements, automation, and digital finance initiatives.Support product teams with pricing models, cost analysis, and financial feasibility assessments.Team LeadershipLead and develop finance professionals, fostering a culture of accuracy, compliance, and continuous improvement.Provide coaching and technical guidance on financial regulations and reporting standards.https://www.executiveplacements.com/Jobs/F/FINANCIAL-MANAGER-1261672-Job-Search-2-12-2026-1-50-16-AM.asp?sid=gumtree
14d
Executive Placements
SavedSave
Junior Accountant
This is an internal support role responsible
for assisting with the day-to-day accounting and financial administration of
the Company and the Group. The primary focus of the role is to provide
accurate, timely, and reliable financial support to the business, under the
guidance and supervision of the Financial Director. The successful incumbent should be
capable of all start-to-end accounting functions, creditors and debtors, bookkeeping,
tax expertise, as well as assistance with the preparation of annual financial statements
and audits.
Minimum Requirements:
·
Grade 12 (Matric) qualification
·
BCom Accounting Qualification advantageous
·
SAICA/SAIPA Accreditation
advantageous
·
Proficiency in Afrikaans is
non-negotiable
·
At least 2 years’ experience
with SARS e-filing and compliance
·
3 - 5 years’ experience in an similar
role – non-negotiable
·
Trusts, Company Registrations,
CIPC knowledge and experience essential
· Proficiency in Quickbooks will
be advantageous
·
Must reside in Gqeberha (or
surrounds)
Please submit your CV, along with a copy of
your South African ID, Driver’s License, Matric Certificate and Tertiary Qualifications
to hr@ambiton.co.za. Should you not meet the minimum requirements of the
role or have not heard back from us within 14 days, please consider your
application unsuccessful.
8d
Port Elizabeth1
SavedSave
Key Responsibilities:Transaction Processing: Recording financial entries, sales, and purchase invoices.Bank & Account Reconciliation: Matching bank statements to internal records and reconciling balance sheet accounts monthly.Payroll: Processing salaries and wages.Taxation: Assisting with VAT reconciliations and returns.Record Keeping: Maintaining organized financial documents and updating ledgers.Software Use: Utilizing accounting software (Pastel, Sage) and Microsoft Excel. Essential Skills & Qualifications:Education: Diploma or degree in Accounting/Finance (or equivalent).Experience: Previous bookkeeping experience in an accounting firm (multiple sets of books) (2+ years preferred).Technical Skills:
https://www.jobplacements.com/Jobs/J/Junior-Bookkeeper-Sunninghill-JHB-1260894-Job-Search-02-10-2026-04-05-16-AM.asp?sid=gumtree
16d
Job Placements
1
SavedSave
Our client is a leading financial services company, proudly forming part of a JSE-listed conglomerate, bringing scale, credibility and serious growth opportunity to the table. Based in Midrand with a hybrid working model, this role offers the perfect blend of corporate exposure and work-life balance. As Senior Accountant, youll sit at the heart of financial reporting and performance, partnering with leadership, engaging auditors, navigating IFRS 17 and ensuring the business stays compliant, efficient, and strategically aligned.Key Responsibilities:Deliver accurate financial results across all reporting areasLead external audit liaison and support annual financial statement completionEnsure IFRS, regulatory, tax and statutory complianceManage IFRS 17 requirements and partner with actuarial teamsOversee expense management and drive cost optimisationProduce and review operational and financial performance reportsSupport budgeting, forecasting and business planning processesPrepare tax calculations and ensure SARS complianceMonitor cash flow, payments, and day-to-day finance operationsPartner with stakeholders and support the Head of Finance on strategic initiativesJob Experience and Skills Required:CA(SA) preferred OR BCom Honours DegreeMinimum 5 years post-articles experience, OR 7 to 10 years commercial experienceFinancial Services / Banking / Insurance industry exposure essentialStrong IFRS 17 knowledgeExperience with HFM / Hyperion beneficialGroup reporting experience requiredPrior management / team leadership experience essentialStrong stakeholder engagement and business partnering ability.If youre ready to take ownership of reporting, influence strategy and grow within a JSE-listed ecosystem, this Senior Accountant role is your next calculated career move.
https://www.executiveplacements.com/Jobs/S/Senior-Financial-Accountant-1262589-Job-Search-02-15-2026-10-14-29-AM.asp?sid=gumtree
11d
Executive Placements
1
SavedSave
Requirements:2-year Bookkeeping Diploma would be advantageous, minimum of 2 years bookkeeping, cash control, cash conciliation experience,2 years experience working with accounting and cash management best practicesSound accounting knowledge and fundamentalsStrong knowledge of cash control policies, procedures, records, and systemsStrong knowledge of financial and cash control information analysisStrong knowledge of Cash management control and preventive proceduresStrong knowledge of relevant law and legislation in the gambling environmentExcellent communication and strong interpersonal skills to build relationships across departments and foster collaborationKnowledge of staff performance management and HR labour lawAbility to demonstrate a practical understanding of the financial and cash control fundamentalsEffective supervisory skills a necessityAnalytical and excellent problem-solving abilitiesSelf motivated under pressure Strict adherence to meeting deadlines with high attention to detailStrong moral principles - ability to uphold and demonstrate the highest level of integrity in all situations and recognise standards required by businessDeadline drivenStrong knowledge of Sage Accpac ERP/CRM, Report Manager including financial system, Computer literacy with advanced MS Excel /OfficeResponsibilities: Ensure that the daily / weekly / monthly departmental and financial controls and procedures are adhered to.Daily control and administer outlets accounting entries, including reconciliations and checking that all money banked is correct, to ensure sound financial management of the outletsDaily perform all relevant reconciliations and record balance due (Select Balance Listing Report) for controlling purposes.Checking of Select Balance Listing reports given by Cash Controllers before end of working day. Ensure that the Select Balance Listing Report is signed returned to the Cash Controller once a weekDaily capture relevant accounting entries in Cash Book, Accounts Receivable and Journal - such as EFTS, credits / debits so that the outlets books are a true reflection of their financial position.Daily follow up on all queries, discrepancies and report immediately to management to mitigate losses.Daily ensure Agency Outlets whos banking is outstanding for longer than the agreement, is taken out of polling until issue is resolved.Weekly LPM entries - prepare schedule and reconcile to invoice, capture entries into Accounts Receivable, Cash Book and make paymentDaily reconcile Race Meeting / Meetings (RMS) - Ensure Gambling Board Taxes are paid timeously as per Gambling Board Legislation - Capture relevant entries to the Cash Book.Daily revise entries in the Cash Books - EFTs, credits / de
https://www.jobplacements.com/Jobs/S/SENIOR-CASH-CONTROLLER-1205833-Job-Search-7-23-2025-3-41-10-PM.asp?sid=gumtree
7mo
Job Placements
1
SavedSave
Applicants are required to meet the following criteria: Grade 12 with NQF6 (BCom) in Banking, Finance / Commercial and FAIS RE55+ years sales experience in a business banking and financial services industry (account management experience)Good communications skills in English. Swahili literacy advantageousStrong credit analysis, documentation and relationship management skillsIn depth knowledge of banking productsProven sales experience in a client relationship role within bankingAbility to work to deadlines with and work under pressureValid drivers, own vehicle and willing to travel to clients when neededRole is eligible for a combined remote / office setup The successful applicant would be responsible for, but not limited to: Sales cold call and find new clients; educate/promote full product offering; manage profit margins; track, control and influence sales activities; actively grow the client base by agreed targetPortfolio Management monitor, track and report on sales activity; identify cross selling opportunitiesRisk Management comply with governance; under clients risk profileClient service anticipate / interpret clients requirements; primary point of contact for client; face to face & telephonic interactions; gain maximum benefit from the products; pro-actively manage the review process of clients facilities; train and assist the client on the necessary systems/processes; provide relevant advice to clients; on boarding of clientsAdmin support reporting; review client files; update/manage CRM systemProcess management relationship building with legal, credit & treasury; assist with SARB applications; ensure queries are resolvedTraining Ensure mandatory product training is completed; keep updated with compliance and legislation; meet training deadlines; keep updated with FICA requirements; banking product & channel knowledge; FAIS compliance; understand sales cycle Salary: Market relatedTo apply email detailed CV and all supporting documentation through to
https://www.executiveplacements.com/Jobs/R/Relationship-Manager-1204192-Job-Search-07-17-2025-10-34-08-AM.asp?sid=gumtree
7mo
Executive Placements
1
SavedSave
Group Financial ManagerReporting to: OperationsSeniority Level: ProfessionalType: PermanentArea: DelmasWe are seeking a highly skilled and process-driven Group Financial Manager, reporting to the CFO, to oversee and optimise the financial operations across a multi-entity group.Key ResponsibilitiesFinancial Reporting & ConsolidationDeliver accurate monthly, quarterly, and annual group financial statements.Manage consolidations and eliminate intercompany transactions.Prepare executive and board-level financial reporting.Budgeting & ForecastingLead the group budgeting cycle and rolling forecasts.Treasury & Cash ManagementManage group cash flow, liquidity, and funding structures.Optimise working capital and banking relationships.Monitor FX exposure and assist with risk mitigation strategies.Leadership & Stakeholder ManagementLead and mentor finance managers across the group.Standardise reporting processes and financial systems.Payroll ManagementOversee the group payroll.Tax Compliance & PlanningManage group tax compliance, including VAT, PAYE, and corporate tax submissions.Liaise with external tax advisors and regulatory authorities.Qualifications & ExperienceBachelors degree in AccountingSuccessful completion of Postgraduate Diploma in Accounting (PGDA), previously known as the CTA (Certificate in the Theory of Accounting)10+ years post-SAICA articles experienceIFRS knowledge and consolidations experienceAdvanced Excel and ERP proficiencyFluent in Afrikaans and EnglishKey Skills & CompetenciesStrong analytical and financial reporting skills.Leadership, mentoring, and stakeholder engagement.High attention to detail and time management.Strategic thinking and business acumen.
https://www.executiveplacements.com/Jobs/G/Group-Financial-Manager-1263125-Job-Search-02-17-2026-04-02-21-AM.asp?sid=gumtree
9d
Executive Placements
1
SavedSave
Purpose of this role:Financial reporting: ensuring the delivery of valid, accurate and complete financial accounting records,Financial operations: management of the financial administration department (i.e. banking facilities, payments, submission of returns etc)Financial operations: management of cash flows, tracking various elements of cash flow against available funding on per project basisGovernance & controls: developing and ensuring compliance to policies, processes and regulationsThe Financial Manager is responsible for the following:A BookkeeperAccounts Payable clerks Qualifications and Experience:BCom Financial Accounting./CIMA/ CA(SA).10 years experience in Manufacturing, experience in the manufacturing or automotive will be an advantage.Extensive and detailed knowledge of best practice accounting systems, policies, and procedures.MS Excel ERP Systems knowledge and experience. Key performance areas:Financial Reporting:Oversee Creditors team who:Reconciles creditors accounts, follow-up on queries, request outstanding invoices and credit notes to ensure timely and accurate cost processing is up to date and payments occur according to agreement and procedure.Verify invoices against purchase orders/GRVs and resolve variances by liaising with supplier or buyer to initiate payment.Attend to supplier/buyer queries by investigating and resolving.Preparing payment requisitions. Loading of transactions in the banks. Drafting of payment schedules. Capturing of all bank transactions including but not limited to forex, petty cash and credit cards.Create new vendors and ensuring supporting documents are submitted for new vendor creation.Preparing monthly balance sheet reconciliations including but not limited to forex, payroll, and credit cards, WIP, and project accounting.Management and accounting of foreign exchange.Ensure the debtors ledger is accurate and reconciles to the general ledger.Reconcile debtors and all intercompany accounts monthly.Regularly following up on outstanding debtors.Record manual journals, where relevant and requested.Process monthly depreciation and maintain the fixed assets register.Liaise with Stores to ensure the accurate processing of goods received.Manage the inventory control process and ensure that stock on hand is accurately reflected on the balance sheet.Ensure expenses and oth
https://www.executiveplacements.com/Jobs/S/Senior-Financial-Manager-1266241-Job-Search-2-26-2026-1-40-35-AM.asp?sid=gumtree
2h
Executive Placements
1
SavedSave
Requirements:CA (SA)Min 5 Year financial management experience (essential)Strong finance background in retail operationsHighly committed, authoritativeHigh levels of energy and driveKey Performance Areas (inter-alia)Participate in key decisions as a member of executive management teamManage the various accounting departmentsAssist in formulating the companys future direction and supporting tactical initiativesMonitor and direct the implementation of strategic business plansInteract with managers to provide support to planning and financial initiativesDevelop financial and tax strategies in consultation with external auditorsManage the capital request and budgeting processesDevelop performance measures that support the companys strategic directionEnsure record systems are maintained according to generally accepted auditing standardsOversee the issuance of financial information & financial resultsAnalyze financial statements, cash flow, cost controls and expenses to guide business leadersEnsure compliance to legal and regulatory requirementsConstruct and monitor reliable control systems incl. insurance coverageMaintain relations with external auditors and follow through on recommendationsMonitor cash balances and forecastsArrange for debt and equity financingMaintain banking relationshipKey Skills needed:Strategic planning and executionKnowledge of contracting, accounting, budgeting and cost controlKnowledge of automated financial and accounting reporting systemsAbility to motivate teams to produce quality outputs within tight timeframes and manage several projects simultaneouslyManagement and leadership skills
https://www.executiveplacements.com/Jobs/F/Finance-Manager-1201265-Job-Search-07-08-2025-10-11-22-AM.asp?sid=gumtree
8mo
Executive Placements
1
REQUIREMENTSMinimum 5 years hands-on bookkeeping experienceStrong experience in small to medium-sized business environmentsComfortable working in dynamic, fast-paced operational businessesExperience owning the full bookkeeping function (not just transactional capture)Strong reconciliation discipline (bank, AR, AP, VAT, payroll)Experience supporting or reporting to an FD or external accounting firmDUTIESWorking alongside the Director, Procurement Team and Outsourced Accounting FirmBookkeeping Support Capture day-to-day financial transactions into the accounting systemAssist with bank, creditor and debtor reconciliationsMaintain organised and up-to-date financial recordsEnsure supporting documentation is correctly filed and easily retrievableFinancial & General AdministrationAssist with month-end bookkeeping tasksPayments & Banking (Support Function)Assist with the preparation and loading of payments on the companys banking platformEnsure payments are supported by approved invoices and required documentationMaintain payment schedules and assist with cash flow trackingFlag any discrepancies or missing documentationInvoices & Accounts Administration Receive, sort, allocate and file supplier invoices and credit notesCapture invoice information accurately into the accounting systemAssist with accounts payable and accounts receivable administrationFollow up on outstanding invoices or documentation as instructedProvide administrative support to the finance team and managementConsult with suppliers and internal staff on basic invoice and payment queriesMaintain confidentiality of all financial information Salary: R negotiable dependent on experience Join us on SOCIAL MEDIA or visit our WEBSITE for more information. See links below.
https://www.jobplacements.com/Jobs/I/Immediately-available-Bookkeeper--Stikland-1261621-Job-Search-02-11-2026-10-34-16-AM.asp?sid=gumtree
15d
Job Placements
1
SavedSave
MAIN PURPOSE OF THE JOBTo provide strategic direction to the Treasury department. To develop and manage strategies, operations and policies in respect of the bank’s treasury function, which involves asset and liability management, liquidity and capital planning, funding operations, investment portfolio management and third party fund administration.Key Performance AreasDesign and Implement the Treasury Strategy as Aligned to the Corporate PlanGives funding advice to guide decisions pertaining to strategic initiatives and potential fundingCollates the information into a workable document for use for review and buy-in for the development of a divisional strategy and implementation roadmapInforms affected groups/divisions of the strategic intent of the specific working area to adjust or modify associated roadmaps and strategyCompiles the final version of the strategy and roadmap in the prescribed organisational format inclusive of organisational position related to the specific elementsMakes the appropriate recommendations related to the strategy and roadmap to the relevant role playersImplements the Strategy and RoadmapProcesses, Policy and Treasury function Limit Development and Financial Risk ManagementProcess, Policy and Limit DevelopmentFinancial Risk ManagementManages the organisation’s Assets and LiabilitiesDirects and supervises the development and production of monthly and quarterly risk management information (including but not limited to interest rate and currency risk reports, financial projections, liquidity and capital planning reports) to enable strategic decision-making for the bank’s balance sheet.Leads the organisation’s resource mobilization efforts.Supervises and contributes to the formulation, periodic review and distribution of Asset and Liability Management policies and guidelines for the organisation.Manages the Capital Funding, Liquidity and Optimises Investment Returns on Surplus CashConducts cash flow forecastingDetermines, monitors and manages the organisation’s funding requirements.Liaises with investors, shareholders and banks to ensure the organisation has sufficient funding at all timesManages the Cost of funding and advise on adjustments and amendments to proactively deal with market changesEnsures sufficient sources of capital are available to exceed the target Capital Adequacy Ratios.Instructs cash office and front office liquidity to invest the surplus cash relative to approved limits.Directing Treasury OperationsTakes ultimate accountability for the imple
https://www.executiveplacements.com/Jobs/E/Executive-Manager-Treasury-1196042-Job-Search-06-20-2025-02-00-15-AM.asp?sid=gumtree
8mo
Executive Placements
1
SavedSave
REQUIREMENTSMatric, Diploma or Degree in Finance, Accounting, or related fieldRelevant bookkeeping or accounting qualificationStudying towards or completed SAIPA / CIMA / ACCA (advantageous)13 years experience in a finance or accounting roleExposure to AP/AR, reconciliations, and basic general ledger functionsExperience supporting senior finance staff is advantageousWorking knowledge of accounting software (Sage, Pastel, Xero, or similar)Strong Microsoft Excel Skills (Pivot tables, VLOOKUP) EssentialMicrosoft Word and Outlook skillsReliable transportDUTIESMaintain accurate accounting records in line with company policiesCapture and process journals, invoices, and paymentsAssist in maintaining general ledger integrity and supporting schedulesEnsure proper filing and document control (physical and electronic)Process supplier invoices and assist with supplier statement reconciliationsPrepare payment schedules for reviewAssist with debtor invoicing, receipt allocations, and follow-upsResolve basic supplier and customer account queriesReport cash flow variances identifiedPerform daily and weekly bank and cash reconciliationsAssist with monitoring bank balancesPrepare supporting banking and payment documentationAssist with preparation of reconciliations and schedules for monthly management accountsCompile supporting data for management and financial reportsAssist with budget tracking and variance supportAssist with payroll administration and record-keepingMaintain payroll supporting documentationAssist with statutory submissions (PAYE, UIF, SDL, VAT) under guidancePrepare audit files and supporting documentationAssist with internal and external audit queriesSupport adherence to financial controls and proceduresProvide administrative and analytical supportAssist with ad-hoc financial analysis and finance-related projectsLiaise with other departments when requiredEnsure accurate and consistent use of accounting systemsAssist with system usage improvementsSupport finance process efficiency initiatives Salary: R negotiable dependent on experience Join us on SOCIAL MEDIA or visit our WEBSITE for more information. See links below.
https://www.jobplacements.com/Jobs/J/Junior-Accountant-1261622-Job-Search-02-11-2026-10-34-16-AM.asp?sid=gumtree
15d
Job Placements
1
SavedSave
An established and well-known company based in Paarl, is seeking a highly capable and experienced Financial Manager to take full ownership of the financial operations within their construction business. The ideal candidate is detail oriented, deadline driven, and able to lead a dynamic finance team while ensuring accuracy, compliance, and strong financial control. Construction industry experience is a strong advantage.Responsibility:You will be responsible for the following:
Cash Flow & Accounts Payable
Monitor and manage company cash flow
Update suppliers on progress draws and payments
Work with Quantity Surveyors to ensure accurate, timeous cash flow reporting
Ensure month end commitments are captured correctly
Load supplier payments and issue POPs
Manage fortnightly subcontractor and wages payments
Lead, train and develop a team of four in procurement and payables
Accounts Receivable
Prepare and send client invoices.
Follow up on overdue payments and liaise with QS teams
Capture receipts and update cash flow models
Bank Reconciliation
Perform daily bank reconciliations with the Assistant Accountant
Complete monthly reconciliation in EJM (or similar)
Statutory Returns
Prepare and submit VAT returns to SARS
Prepare, reconcile and submit EMP501 mid year and year end returns
Submit annual OICD declaration to the Department of Labour
Month-End Closing
Take full responsibility for month end processes
Evaluate WIP for all active sites and post journals
Maintain Fixed Asset Register and process depreciation
Update vehicle finance and home loan reconciliations accurately
Prepare monthly management accounts
Capture and reconcile monthly credit card spend
Payroll
Manage salaried payroll and ensure accurate, timely payments
File monthly EMP201 submissions
Support the HR Manager where required
Additional Responsibilities
Perform ad hoc financial and administrative duties as delegated by the CEO
Qualifications:
Matric
Bachelor Degree in B.Com / B.Acc / B.Compt Accounting / Finance
Minimum 4 – 5 years of experience in a financial management role in the construction industry will be pref.
Strong understanding of cash flow management and project based costing
Experience with EJM Construction Software, CCS, or similar
Skills:
Excellent leadership and communication skills
High level of integrity, accuracy, and attention to detail
Excellent communication skills
Able to perform under pressure
Proven organisational skills
Able to perform manage deadlines and meet them
Responsible, accountable and dedicated
If you are interested in this opportunity, apply with your most recent resume & supporting documents. You could also give us a call on 021 205 7569 or email us at info@edgepersonnel.co.za
Please note should you not receive a response from us within 7 working days; kindly consider your application unsuccessful. We wish you all the best.
Salary: R70 000.00 - R60 000.00
1mo
Edge Personnel
1
SavedSave
Our client based in the Camperdown area is seeking an experienced Finance Clerk. The ideal candidate should have proven experience as a bookkeeper, knowledge of Xero, and excellent communication skills with the ability to present and explain financial reports. MUST BE AVAILABLE IMMEDIATELY.
Duties:
Ensure invoices are processed and captured for all funds paid from the accountOverall participation and very hands-on with operationsDefining bookkeeping policies and proceduresFinancial reporting and data entryPrepare, maintain, and file accurate financial transactions and reportsAccounts payable and receivable and pay invoicesHandling subsidiary accountsPreparing information and documents for auditors and complianceRecord payments and adjustmentsBank reconciliationMaintaining a balanced general ledgerEstablishing different accounts
Working Hours:
Monday to Friday 07:00 to 16:30 / 07:30 to 17:00 and alternate weekends 08:00 to 12:00
If you meet all of the above, please apply directly here. Please note due to high volume responses, only candidates that meet the advertised criteria will be contacted.
https://protool.gumtree.co.za/external-link-browser.html?url=aHR0cHM6Ly93d3cuZGl0dG8uam9icy9qb2IvZ3VtdHJlZS8xODUyNDU0NDYyP3NvdXJjZT1ndW10cmVl&jid=1754237&xid=1852454462
2y
Pronel Personnel
1
SavedSave
Are you the kind of finance professional who thrives on structure, ownership, and making a real operational impact?A well-established manufacturing business is looking for a commercially minded Senior Financial Accountant to step into a pivotal role as the right hand to the Finance Manager. This is more than just month-end - its an opportunity to shape reporting, improve controls, and support strategic decision-making in a hands-on environment.What youll be doing:Leading month-end close and preparing management accountsManaging full GL function, reconciliations, and journalsPreparing budgets (Opex, Capex, fixed assets) and cashflow forecastsOverseeing VAT, SARS submissions, and statutory reportingDriving internal controls, audits, and risk mitigationActing as ERP super user (Sage 200 Evolution) and supporting system improvementsManaging and developing a small finance teamWhat were looking for:BCom Accounting / BCompt / CIMA / ACCA10+ years experience in a similar senior accounting roleManufacturing experience (strongly advantageous)Solid exposure to foreign transactions and forexAdvanced Excel skills (pivot tables, lookups, macros)Strong leadership ability with high emotional intelligenceDetail-driven, proactive, and commercially awareWhats in it for you:Join a stable, product-focused manufacturing environmentStrategic exposure beyond traditional accountingHybrid model (3 days office, 2 days remote after onboarding)This is ideal for someone who enjoys accountability, improving processes, and adding measurable value to a business.Apply now to explore this opportunity confidentially.If you dont hear back from us within 2 weeks of applying, please consider your application unsuccessful. But stay in touch - follow us online and keep an eye out for future opportunities.
https://www.executiveplacements.com/Jobs/F/Financial-Accountant-1266310-Job-Search-2-26-2026-6-46-35-AM.asp?sid=gumtree
2h
Executive Placements
1
SavedSave
Are you a detail-oriented credit professional with a passion for responsible lending and deep client engagement? This is your chance to join a dynamic financial institution and contribute to meaningful, growth-driven credit solutions.Key Responsibilities:Assess and analyse client financials, including cash flows, forecasts, and existing debt exposure.Make sound credit decisions within policy frameworks and in compliance with the National Credit Act.Determine the most appropriate lending solutions to meet client needs while managing risk effectively.Conduct client engagements (virtual or in-person) to build deep business understanding.Draft and apply credit conditions, identifying risks and ensuring proper mitigations are in place.Proactively identify opportunities for asset growth while upholding strong credit principles.Collaborate with internal teams to improve processes, provide guidance, and share credit expertise.Participate in ecosystem and squad sessions to support broader business objectives.What Were Looking For:Ability to interpret financial statements and assess client capacity and willingness to repay.Proven experience in loan assessment, credit structuring, and understanding of credit policies.Strong knowledge of collateral types, legal frameworks, and deeds office processes.Familiarity with affordability assessments, credit checks, and scorecard completion.A proactive mindset, able to make confident decisions and communicate them effectively.Key Competencies:Analytical thinking and data interpretationDecision-making under pressureHigh attention to legal and risk principlesAbility to coach and support team membersClear and articulate communicatorCommitment to continuous learning and expertise developmentPassion for delivering an exceptional client experience Qualifications:A degree in Finance, Economics, Accounting, or related fieldMinimum of [Insert Years] years in a credit risk, business banking, or lending environmentStrong technical understanding of credit risk systems, regulatory requirements, and financial modeling
https://www.executiveplacements.com/Jobs/M/Manager-Regional-Credit-1195490-Job-Search-06-18-2025-10-13-31-AM.asp?sid=gumtree
8mo
Executive Placements
1
This position will report into the Financial Manager and CEO.Minimum Skills & Experience Requirements:5 years experience in credit control, debt collections or financial operations with a large number of accountsProven experience with high-volume payment allocations and bank reconciliationsStrong financial administration and control disciplineDemonstrated experience working with External Debt Collectors or Legal Collections PartnersAbility to manage escalations, disputes and reconciliation complexityExperience operating in a regulated or compliance-sensitive environmentAdvanced Excel / systems capability (allocations tracking, reporting, data analysis, pivot tables, reconciliation analysis)Experience on Swordfish would be advantageousManagement experience as the role supervises 2 experienced Collections AgentsPreferred:BCom Accounting / Financial ManagementCredit Management Certification (ICM) would be advantageousExperience in collections restructuring, or high-risk collections environmentsKey Responsibilities:A. Financial Control & AllocationsDaily payment allocations and verification against bank statementsException handling (unidentified payments, partial payments, reversals)Allocation cut-off control to ensure agents work from accurate arrears dataOversight of refunds and customer repayment processing B. External Debt Collector (EDC) CoordinationDaily/weekly handover of accounts to EDCMonitoring recovery performance and disputesManaging escalations, recalls, and customer queriesEnsuring SLA adherence and data integrity C. Internal Early-Stage Collections OversightSupervision of a reduced internal team (±4direct reports)Focus on customers current to two months in arrearsPreventing unnecessary escalation to legal collections D. Reporting & Risk ManagementDaily arrears movement reportingWeekly collections performance reportingIdentification and escalation of systemic risksMaintenance of SOPs and contingency planningE. Critical for the role: Go
https://www.jobplacements.com/Jobs/D/Debtors--Collections-Control-Manager-Randburg-1261514-Job-Search-2-23-2026-3-31-45-AM.asp?sid=gumtree
4d
Job Placements
1
SavedSave
Job & Company Description:This exciting opportunity is ideal for a proactive, outside-the-box thinker who thrives in a fast-moving environment. You will join a diversified team of high performers and play a critical role in managing the bookkeeping function relating to balance sheet for a large group structure.As the successful candidate, you will support effective banking processes, maintain stringent financial controls, and ensure accurate reconciliations across multiple entities. If you enjoy responsibility, accuracy, and being an integral part of a results-driven finance team, then this contract role is the perfect fit.Key Responsibilities:Act as the primary contact for all bank and cash-related matters.Maintain effective control of 30 cashbooks and prepare monthly bank reconciliations for 15 group companies.Process payments according to approved payment schedules.Perform inter-bank transfers and maintain daily and monthly cashbook entries.Manage and control 22 petty cash cards and credit cards.Education and Skills:BCompt Accounting degree (minimum).3+ years experience in Bookkeeping with strong balance sheet exposure.Advanced Microsoft Excel skills and Sage X3 experience (non-negotiable).Strong organisational ability and meticulous attention to detail.Ability to work effectively under pressure and meet deadlines.Apply now!For more contracting jobs, please visit:
https://www.jobplacements.com/Jobs/B/Bookkeeper-1262024-Job-Search-02-12-2026-10-13-54-AM.asp?sid=gumtree
14d
Job Placements
1
SavedSave
Key ResponsibilitiesManage Accounts Receivable and Accounts Payable age analysisLead Head of Debtors and Head of CreditorsOversee cash flow and payment cyclesReconcile multiple bank accounts and manage local & international paymentsMonitor daily financial controls and drive process improvementsPartner closely with operational teamsRequirementsCA(SA) essentialStrong working capital management experienceProven supervision of debtors and creditors teamsSolid cash flow management expertiseHospitality exposure advantageousWe are looking for a confident, detail-oriented leader who thrives in fast-paced, high-volume environments and can drive accountability while maintaining team morale.A career-defining opportunity within a growing hospitality group. Confidential applications invited.
https://www.executiveplacements.com/Jobs/F/Financial-Manager-1261634-Job-Search-02-16-2026-00-00-00-AM.asp?sid=gumtree
10d
Executive Placements
Save this search and get notified
when new items are posted!
