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Results for financial controller in "financial controller", Full-Time in Jobs in South Africa in South Africa
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Our client, a leading fuel and distribution company, is seeking a highly organised Debtors Controller to take ownership of their full debtors function.Key Responsibilities:Oversee and manage the full debtors control functionProcess customer invoices, statements, and credit notesEnsure the accurate allocation of payments and timely reconciliationsMonitor outstanding accounts and actively follow up on overdue debtMaintain accurate debtor ageing and ensure acceptable debtorâ??day performancePrepare monthly reports and provide financial insights to managementSkills & Requirements:Matric 3+ years experience in a Debtors Controller/Debtors Clerk roleExperience in fuel, logistics, distribution, or FMCG industries advantageousStrong reconciliation and numerical skillsAbility to excel in a highâ??volume, fastâ??paced environmentApply Now!
https://www.jobplacements.com/Jobs/D/Debtors-Controller-1248197-Job-Search-01-05-2026-00-00-00-AM.asp?sid=gumtree
1d
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Are you a detail-oriented and analytical finance professional with a solid background in financial reporting, tax, and operational finance? As a Financial Accountant, you will play a key role in ensuring the accuracy, integrity, and timeliness of financial records and reporting. You will support group reporting, cash flow management, tax compliance, and play a critical part in preparing for audits and managing BEE scorecard processes. A well-established, forward-thinking business with a strong local presence and global support, known for our commitment to quality, operational excellence, and continuous innovation. Joining our team means being part of a stable, reputable organisation that values initiative, encourages personal and professional growth, and blends global best practices with a dynamic local culture. Youll work alongside high-performing professionals, contribute to meaningful projects, and have real opportunities to make an impact while developing your career in a collaborative, purpose-driven environment. Duties: Financial Reporting & Analysis: Prepare month-end reports, trial balance reviews, income statement and balance sheet reconciliations, group reporting packs, and support year-end financial closures.Cash & Banking: Oversee EFT releases, cash flow forecasting, forex impacts, petty cash, and credit card reconciliations.Accounts Payable & Receivable: Review supplier reconciliations, manage debtor age analysis, foreign currency revaluations, and sales-to-TB reconciliations.Fixed Assets & Inventory: Maintain the fixed asset register, calculate depreciation, and reconcile fixed asset schedules with the general ledger.Tax & Compliance: VAT, PAYE, and Income Tax reconciliations, liaising with External Auditors and SARS, and assisting with submissions to STATS SA and SARB.BEE Scorecard & Reporting: Manage the BEE scorecard, ensure accurate documentation, and participate in audits and committee activities.Audit & Controls: Be the key liaison for internal and external auditors, resolve queries, and implement improved controls and processes. Job Experience & Skills Required: Qualifications: Matric (Grade 12)BCom AccountingBCom Honours / CTACA(SA) Experience: Newly qualified CA(SA) or SAIPACompleted SAICA / SAIPA Articles35 years of relevant experience Skills & Competencies: Sound knowledge of accounting standards and financial principlesStrong understanding of VAT, Income Tax, and financial controlsAnalytical, process-driven and solutions-orientedExcellent written and verbal comm
https://www.executiveplacements.com/Jobs/F/Financial-Accountant-1248008-Job-Search-01-03-2026-04-16-56-AM.asp?sid=gumtree
10d
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Key Responsibilities: Support month-end and year-end close processes and maintain general ledger accounts.Manage accounting operations, including fixed assets, WIP, revenue recognition, payroll, and lease accounting (IFRS compliance).Prepare and post journals, reconciliations, and maintain accurate financial records.Prepare and publish monthly management accounts and assist with annual financial statements and regulatory reporting.Participate in forecasting and budgeting, including budget analysis and reporting.Review and release local and foreign payments, maintain loan schedules, and reconcile shareholder loans.Prepare and submit all tax returns and ensure compliance with SARS regulations.Coordinate and actively participate in audit processes, manage finance risks, and ensure internal controls are robust.Assist with operational analyses, stock counts, and other ad-hoc financial reporting requirements.Manage insurance declarations and ensure compliance with governance and technical accounting standardsJob Experience and Skills Required:Bachelors degree in Accounting or related field.Minimum 5 years experience in a similar role, preferably in a manufacturing environment.CA(SA) qualification advantageous.Strong knowledge of ERP systems (JDE essential; QlikView and Hubble advantageous).Advanced Excel skills including financial modelling, formulas, and analysis.Proven experience in preparing financial statements and cost & management accounting.Strong analytical, problem-solving, and numerical skills with high attention to detail.Excellent communication and interpersonal skills.Knowledge of risk, insurance management, and compliance with IFRS.Ability to understand broader business and commercial issues and work under pressure.Apply now!
https://www.executiveplacements.com/Jobs/F/Financial-Accountant-1246972-Job-Search-12-15-2025-04-13-10-AM.asp?sid=gumtree
1d
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Key Responsibilities:Operate as the outsourced financial accountant for their Foundation clients, with responsibilities across:Day-to-day financial operations and bookkeepingPreparing and posting journals (QuickBooks experience essential)Monthly management accounts, including income statement and balance sheet reviewsBudgeting, reporting, and variance analysisLiaising with Cayman-based team on financial reporting and commentaryOverseeing payments, reconciliations, and cash flow monitoringEnsuring compliance with internal controls, KYC and basic regulatory requirementsCommunicating directly with clients and external service providersRequirements:A deep understanding of accounting principles (formal qualification)23+ years post-qualification experience in a finance or accounting roleStrong experience in preparing management accounts and handling full finance function ownershipProficiency with QuickBooks and other accounting systemsComfortable working independently Ability to communicate clearly and confidently with senior stakeholders, including international teamsPrevious experience in an outsourced finance or client-facing roleExposure to Web3, crypto, or digital assetsExperience with both fiat and digital asset payments and reconciliations
https://www.executiveplacements.com/Jobs/W/Web-3-Financial-Accountant-1202379-Job-Search-07-11-2025-04-21-29-AM.asp?sid=gumtree
6mo
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Job DescriptionPurpose of the RoleTo ensure accurate and compliant financial recordkeeping by managing the full bookkeeping function, including general ledger, fixed assets, creditors, debtors, intercompany transactions, and statutory compliance. The role supports month-end reporting, reconciliations, and financial controls to provide reliable financial information for management decision-making.Key ResponsibilitiesBookkeeping & Financial ReportingManage all bookkeeping functions, including maintaining financial records, posting transactions, and ensuring legal and statutory compliance.Maintain subsidiary accounts, reconcile entries, and transfer summaries to the general ledger.Prepare trial balances, balance sheet reconciliations, and bank and petty cash reconciliations.Define product and operational costs and maintain accurate historical financial records.Prepare month-end journal entries for approval and assist with month-end reporting.Prepare financial reports by analysing and summarising financial data and trends.Ensure compliance with SARS and other statutory requirements and advise management on required actions.Fixed AssetsMaintain the Fixed Asset Register.Develop and manage depreciation schedules.Ensure timely capitalisation of fixed assets.Creditors, Debtors & IntercompanyProcess invoices and reconcile creditor accounts to statements.Prepare and process creditor payments.Process intercompany invoices and reconcile intercompany balances.Minimum RequirementsMinimum of 3 years experience as a Senior Bookkeeper or in a similar role.Qualification in Financial Accounting.Strong knowledge of bookkeeping principles, including creditors and debtors functions.Experience with SAP and EMA.Proficiency in Microsoft Office and purchasing software (minimum 3 years).Personal AttributesExcellent written and verbal communication skills.Strong critical thinking, planning, and organisational abilities.High attention to detail with a focus on accuracy and compliance.Proactive, flexible, reliable, and responsible.Ability to work independently and as part of a team.Strong work ethic and ability to meet deadlines effectively.
https://www.executiveplacements.com/Jobs/S/Senior-Bookkeeper-1249908-Job-Search-01-09-2026-04-35-52-AM.asp?sid=gumtree
4d
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Job Description:Our client is a reputable company operating in the railway engineering sector, known for technical expertise, strong governance, and a collaborative culture. The business offers an environment where finance professionals are valued as key business partners, supporting both operational efficiency and strategic growth.Key Responsibilities:- Prepare full Annual Financial Statements (AFS)- Compile audit packs and liaise with external auditors- Report to external stakeholders, investors, and management- Maintain and reconcile fixed asset registers, including railway assets and equipment- Account for CAPEX, asset commissioning, and depreciation- Handle VAT calculations, submissions, and reconciliations- Assist with or independently prepare budgets and forecasts- Provide financial analysis to support operational performance, project delivery, and investment decisions- Ensure compliance with IFRS, GAAP, and internal control frameworks- Support continuous improvement of financial processes and reportingSkills:- Proficiency in ERP systems used in asset-intensive or engineering environments (SAP, Oracle, Syspro, or similar)- Strong Excel and financial reporting skills- Solid knowledge of GAAP, IFRS, and statutory compliance- Strong analytical ability and attention to detail- Ability to operate effectively in a project-driven, engineering-focused environmentMinimum Qualifications:BCom Accounting (essential)Experience:Minimum 35 years commercial experience within the railway, engineering, or heavy industrial sectors (advantageous). Exposure to asset-intensive operations and CAPEX-heavy projects (highly beneficial).Apply now!
https://www.executiveplacements.com/Jobs/F/Financial-Manager-1249813-Job-Search-01-09-2026-04-13-46-AM.asp?sid=gumtree
1d
Executive Placements
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Company and Job Description: A well-established and fast-paced organisation is seeking a detail-oriented and proactive Financial Administrator to join its finance team. This role is ideal for someone with strong accounting fundamentals, excellent organisational skills, and the ability to manage multiple priorities accurately and efficiently. Key Responsibilities: Full Accounts Receivable (AR) cycle management: customer profiles, invoicing, credit notes, receipt allocations and follow-up on overdue accountsFull Accounts Payable (AP) cycle management: supplier profiles, GRN/GRV matching, credit notes and payment runsBank reconciliations, including downloads, imports and accurate capturing into Sage EvolutionTreasury and cashbook management, ensuring daily cash visibility and supporting cash flow forecastingPreparation of month-end journals, including AR provisionsBalance sheet reconciliations, analysis and resolution of reconciling itemsPreparation of ad hoc financial reportsAccurate data entry, categorisation and documentation of financial transactionsApplication of VAT and tax principles relating to AR and AP transactionsSupport for internal controls, compliance, and continuous improvement of financial processesJob Experience and Skills Required:Completed Diploma or Degree in finance3 5 years of experienceExperience working on Sage EvolutionMicrosoft Excel at an intermediate levelSolid understanding of AR, AP, cashbook and reconciliation processes Apply now!
https://www.jobplacements.com/Jobs/F/Financial-Administrator-1249186-Job-Search-01-07-2026-10-13-24-AM.asp?sid=gumtree
1d
Job Placements
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Our client is seeking a Senior Billings Administrator to take ownership of the end-to-end billing cycle and ensure the integrity of customer billing while driving efficient revenue management processes.This role is based in Sandton, Johannesburg North.Key Responsibilities:Oversee and manage the full customer onboarding and billing administration processesGenerate and issue accurate invoices and statements in line with billing cyclesEnsure billing compliance, accuracy, completeness, and financial data integrityMaintain efficient revenue cycle managementResolve billing discrepancies and queries within agreed SLA frameworksSupport revenue assurance through reconciliations and analysisEnsure adherence to statutory requirements, internal policies, and financial controlsMonitor and administer bursary and discount applicationsMaintain accurate master data and update client records in billing systemsCollaborate with internal teams to ensure timely and accurate billing outcomesAssist with month-end and year-end billing activitiesPrepare, analyze, and present billing performance reports and insightsManage masterdata processes, including transfers, suspensions, and terminationsMaintain organized and compliant document administration recordsJob Experience and Skills Required:Completed MatricMinimum 35 years experience in billing, accounts, or financial administrationProven experience managing billing cycles and working with a large volume of dataStrong understanding of financial controls, revenue assurance, and complianceAdvanced Excel and billing system experience (fresh service / ERP systems advantageous)Excellent communication, analytical, and problem-solving skillsHigh level of accuracy, attention to detail, and accountabilityApply now! For more exciting Finance vacancies, please visit:
https://www.jobplacements.com/Jobs/S/Senior-Billings-Administrator-1248347-Job-Search-01-05-2026-10-13-34-AM.asp?sid=gumtree
1d
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Duties: Managing and maintaining the accounting records, in line with the applicable reporting standards and Group Finance SOP. This includes ensuring that the accounting records are accurate and fairly represent the financial performance and position of the hotel. Day-to-day processing of all financial data (invoices, journals)Monthly preparation of the management accounts and executive summary, detailing variances against prior year, budget and forecast.Submission of the monthly management pack to Head Office assisting with questions, where relevant.Processing of all relevant monthly journal entries this would include prepaids to be expensed, any accruals, etc. Process and reconcile the cashbooks/bank accountsReconciling & processing of the monthly payroll including medical aid and pension funds, and submission to Head Office, submissions of EMP201 including loading of payments for approval.Reconciling of monthly VAT.Together with cost control team and respective HODs, to ensure that there are, at all times, proper procedures and controls for purchasing, receiving, stores and requisitioning and carries the responsibility for all supplier contracts, in line with Group Finance SOPsReviewing and interrogating monthly stock take reports and processing the necessary monthly journalsPreparation of the annual budget and monthly monitoring of spending in line with budget. This includes communication with the various departments regarding their expenditure.Preparation of monthly forecasts.Maintaining the debtors (together with Group Debtors Manager) and suppliers age analysisPreparing and loading weekly & monthly payments for submission to head office.Coordinate with external auditors over the year end auditOversee the financial performance and management of the companys various business units and making recommendations for improvementEnsuring that all balance sheets are reconciled and reviewed monthly and follow up and resolve unreconciled items timeously.Conduct and participate in monthly feedback meeting with the HOD team to review prior months financial results, discuss operational issues and any other related business.Provide financial guidance to department managersFoster a culture of accountability and continuous improvementWork closely with the General Manager of the hotel and to provide assistance and feedback from a finance perspective that will assist with decision makingTimeous identification of issues to head office and General manager and immediate resolution.Collaboration and communication with Head Office finance teamCarry-out finance directives from Head Office.Ad hoc finance duties as required. Requirements: Grade 12Bachelors Degree in Finance, Accounting, or a related fiel
https://www.executiveplacements.com/Jobs/F/Financial-Manager-1249942-Job-Search-01-09-2026-10-03-25-AM.asp?sid=gumtree
4d
Executive Placements
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Job Description:Provide strategic leadership to Finance and Corporate Services, ensuring integrated, efficient and compliant operationsOversee financial planning, budgeting, forecasting, reporting and audit processesEnsure compliance with PFMA, Treasury regulations, GRAP, the Companies Act and governance best practicesLead supply chain, asset management, ICT and related support functionsStrengthen internal controls, risk management, payroll accuracy and procurement complianceManage funding arrangements, working capital and organisational financial sustainabilitySupport executive decision-making through financial insights and scenario analysisLead people management, performance, talent development and organisational capability buildingRepresent the organisation in stakeholder, partner and funding engagements Skills & Experience: Multi-Entity Accounting & Daily Financial OperationsDay-to-day management of the full accounting function, ensuring accurate capturing of accounting entries in PastelCompletion of multicurrency bank reconciliationsMaintain Pastel ledgers to ensure accurate transaction reflectionProcess online banking transactions (multicurrency) across various platformsEnsure FICA compliance and manage all required statutory filingsProcess underwriter supplier payments and bordereaux, including reconciliation of settlement fundsPerform accurate matching of debtor receipts and creditor bordereaux paymentsManage expense processing and maintain impeccable financial record keepingAssist with intercompany expenses and supporting reconciliationsRetrieve and organise financial data for transaction monitoring (strong filing discipline required)Systems Integration & Stakeholder CollaborationCollaborate with broking and technology teams to ensure correct data flow between Pastel and other systemsMonitor and assist in debtor reporting and recovery, including debtor reconciliationsTechnical Accounting & ReportingPerform forex revaluationsComplete month-end close processesPrepare and presentKey financial information on a monthly basisAssist in annual budget preparation, ongoing monitoring, and reportingManage year-end processing and support annual auditsHandle payroll processing, issuance of payslips, IRP5s, and related finance tasksAdditional ResponsibilitiesSupport the Finance Manager with reporting functions, including meeting internal targets and performing ad-hoc tasks as required by the finance divisionAdhere to internal processing controls, maintain strong attention to detail, and demonstrate the ability to optimise available resourcesQualification:Minimum 10 years experienceMinimum 10 years sen
https://www.jobplacements.com/Jobs/S/Senior-Bookkeeper-1251099-Job-Search-01-13-2026-10-13-28-AM.asp?sid=gumtree
9h
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Dotcom Cybersecurity was launched in 2020 to help companies achieve actual value, insight, and risk mitigation from their cybersecurity investments. Our business-first philosophy successfully secures medium, large, and global enterprise customers in banking, retail, state-owned enterprises, and other major sectors.We stake our reputation on trust and collaboration, working with Chief Information Security Officers (CISOs), Chief Information Officers (CIOs), Chief Executive Officers (CEOs), the board, and business owners in sectors including banking, financial services and insurance, technology and telecommunications, the public sector, and manufacturing. Dotcom Cybersecurity is a level 1 BBBEE company, committed to growing South Africa.An exiciting new permanent opportunity has been created for a Head of Cybersecurity. This role will be based full time at our offices in Centurion.The Head of Cybersecurity is a strategic leadership role responsible for developing, implementing, and managing the organisations cybersecurity vision, ensuring robust protection against cyber threats, and aligning security initiatives with business objectives. This role requires expertise in managed services, cybersecurity solutions, cybersecurity products, and financial & budget management, including budgeting, cost controls, accruals, and deferrals. The individual will lead a team of cybersecurity professionals, and drive innovation in security technologies and services.Key Responsibilities:Cybersecurity Strategy & GovernanceDevelop and implement the organizations cybersecurity strategy, policies, and frameworks.Ensure alignment of cybersecurity initiatives with business goals, regulatory requirements, and industry best practices.Establish risk management processes to identify, assess, and mitigate cybersecurity risks effectively.Define and implement cybersecurity standards, ensuring compliance with frameworks such as NIST, ISO 27001, and CIS.Financial & Budget ManagementBudget Ownership & Planning: Own and manage the cybersecurity budget, ensuring accurate financial forecasting, cost control, and resource allocation in alignment with business objectives, working closely with Group Finance and the Managing Director (MD).Cost Management: Oversee cost of sales, deferrals, accruals, and other financial transactions to maintain compliance with financial reporting standards, in collaboration with Group Finance.Investment Optimization: Work with Group Finance and Procurement to optimize cyber
https://www.executiveplacements.com/Jobs/H/Head-of-Cybersecurity-1202296-Job-Search-7-11-2025-5-31-10-AM.asp?sid=gumtree
6mo
Executive Placements
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If you love getting into the details, thrive under pressure, and enjoy taking ownership of endâ??toâ??end accounting processes, this is the opportunity for you!Key Responsibilities:Manage monthâ??end and yearâ??end accounting processes, ensuring accurate and timeous reportingPrepare management accounts, financial statements, and variance analysisOversee balance sheet reconciliations, asset registers, VAT, and complianceSupport budgeting, forecasting, and financial planning activitiesMonitor financial controls and assist with audits, reconciliations, and cost trackingSkills & Requirements:BCom Accounting or similar qualification essential35 years experience as an Accountant (fuel, logistics, distribution, or import industry experience highly advantageous)Strong understanding of accounting principles, reconciliations, VAT, and reportingHigh attention to detail, deadlineâ??driven, analytical, and able to work under pressure in a highâ??volume environmentApply Now!
https://www.executiveplacements.com/Jobs/A/Accountant-1248202-Job-Search-01-05-2026-00-00-00-AM.asp?sid=gumtree
1d
Executive Placements
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Key ResponsibilitiesManage tenant accounts receivable and ensure timely rent and arrears collectionMaintain accurate records and perform tenant account reconciliations in ExcelSend letters of demand and follow up with second notices for overdue accountsCollaborate with the legal department and debt collection agencies for accounts requiring attorney handoverArrange payment plans with tenants under management approvalPrepare monthly arrears reports and provide updates to the Group Financial ManagerEnsure deadlines are met and report regularly on collection progressRequirementsProven experience in debt collection, credit control, or accounts receivable managementPrevious exposure to MRI Property Central (MDA) preferred; other property management systems consideredStrong Excel and reconciliation skillsExcellent communication skills, able to contact tenants via phone and emailOwn transport for site visits across multiple retail property locationsHighly organised with time management skills to meet reporting deadlinesAdditional InformationPortfolio size: R68 million debtors book / 240,000m² Gross Lettable AreaOffice hours: Monday to Friday, 08:00 17:00Property type: Retail shopping centresImmediate start availableCall to ActionIf you are an experienced Debt Collector or Credit Controller with property management experience, apply now to take ownership of a large tenant accounts portfolio and make a measurable impact on the financial performance of a reputable property management company.
https://www.jobplacements.com/Jobs/D/Debt-Collector-Credit-Controller-1251092-Job-Search-01-13-2026-10-06-13-AM.asp?sid=gumtree
9h
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Minimum RequirementsRelevant tertiary qualification (Degree or Certified Cost Professional).810 years experience in a Cost Controller or Cost Engineer role within a multidiscipline project environment.Strong knowledge of cost control principles, financial governance, and compliance standards.Proven experience working with Project Cost Management Systems and SAP.Solid understanding of project management methodologies and controls.Excellent analytical, written, and verbal communication skills.Strong business acumen with the ability to think strategically and analytically.Ability to manage multiple priorities with a high level of accuracy and attention to detail.Demonstrated capability to support and lead organisational change initiatives.Roles and ResponsibilitiesProvide effective cost control support to project teams in line with organisational policies, procedures, and regulatory requirements.Develop, implement, and manage project financial controls, including the Cost Management Plan.Prepare cost estimates, manage project budgets, monitor expenditure, and produce accurate cost forecasts.Supply project management with up-to-date cost information to enable informed decision-making.Establish control budgets by finalising coding for detailed estimate line items against the approved baseline budget.Track project progress in line with the schedule and generate cost curves and performance data.Support tender and procurement processes by allocating budgets, reconciling scope and pricing, and preparing financial recommendations.Review contractor payment applications in accordance with contract terms and prepare payment certificates or invoices for approval.Maintain accurate records of procurement commitments, including contracts, variations, change notices, and purchase order updates.Conduct regular cost reviews and update forecasts based on project progress, expenditure trends, and approved changes.Manage and forecast contingency, escalation, foreign exchange, and currency impacts.Capture actual costs and commitments in cost systems and generate detailed cost reports by package.Participate in change management and trending processes, incorporating approved changes into the Estimate at Completion (EAC).Update project budgets to reflect approved Project Change Notices (PCNs).Produce periodic cost reports, analyse variances, and report findings to key stakeholders.Collect and consolidate EPCM cost and progress data and maintain accurate status reporting.Closing DateSubmissions for this vacancy will close on 13 January 2026, however, you will still have the opportunity to submit your CV for this position unt
https://www.executiveplacements.com/Jobs/S/Senior-Project-Cost-Controller-1248805-Job-Search-01-06-2026-10-23-20-AM.asp?sid=gumtree
7d
Executive Placements
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My client, a well-established mining company with nearly 20 years of operational success, is seeking a Financial Controller to join their dynamic team. With consistent growth and operational excellence, this mining company has built a strong reputation in the industry. They are known for their commitment to sustainable practices, long-term stakeholder value, and delivering high-quality commodities to global markets. This is an exciting time to join as they enter a new phase of expansion and innovation. Reporting directly to the Chief Financial Officer, the Financial Controller will play a key role in driving financial performance, governance, and strategic decision-making across the business. Duties:Lead the financial reporting processManage budgeting and forecastingOversee audit processesInternal controlsSupport the CFO and executive team with business planning and investor reporting Education and experience:BCom AccountingCompleted SAICA or SAIPA articlesAt least 5 years in a similar roleMining industry experience would be an advantage
https://www.executiveplacements.com/Jobs/F/Financial-controller-1198199-Job-Search-06-27-2025-04-13-16-AM.asp?sid=gumtree
7mo
Executive Placements
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The Clothing Store Manager is responsible for the overall management and growth of the retail clothing store, ensuring operational excellence, profitability, and exceptional customer experience. The role includes staff recruitment and training, financial and bank account management, purchasing and stock replenishment, and daily, monthly, and annual store operations. The Manager will actively drive customer retention, acquisition of new customers, expansion opportunities, and ensure the store remains aligned with current fashion trends, including clothing, hair, beauty accessories, and footwear.Key Responsibilities1. Store Operations Management2. Staff Recruitment, Training & Management3. Financial & Bank Account Management4. Purchasing, Stock Control & Replenishment5. Sales Growth, Marketing & Customer Retention6. Fashion Trends & Product Knowledge7. Reporting & Strategic Planningv Find detailed roles and responsibilities in the attached fileQualifications & Experiencel Diploma or Degree in Business Management, Retail Management, Fashion, or related field.l Minimum 3–5 years’ experience in retail management, preferably in clothing or fashion.l Proven experience in staff supervision, financial management, and inventory control.l Strong understanding of fashion retail trends.Skills & Competenciesl Strong leadership and people management skills.l Excellent financial and analytical abilities.l High level of integrity and accountability.l Strong customer service and sales orientation.l Excellent communication and negotiation skills.l Ability to multitask and work under pressure.l Computer literacy (POS systems, MS Excel, accounting software).Key Performance Indicators (KPIs)l Sales growth and profitability.l Customer retention and acquisition rates.l Stock turnover and shrinkage control.l Staff performance and training outcomes.l Accuracy of financial records and reports.l Store operational efficiency and brand presentation.Working Conditionsl Retail working hours, including weekends and public holidays.l Fast-paced, customer-facing environment. Interview will include 4-stage hiring funnel:l Stage 1: Initial interview - culture, leadership & retail mindsetl Stage 2: Practical Assessment - Commercial and Operational Judgementl Stage 3: Trial Shift/ Working Interviewl Stage 4: Apprenticeship/ Manage-in-Training Deadline for application is 20th January 2026 and only those who meet the criteria above will be called for interview. Send your credentials, CV, full photo to lamode.africa@gmail.com
4d
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A global leader in innovative technology solutions, committed to driving progress and creating sustainable value for businesses and communities worldwide. With a strong legacy of excellence, they combine cutting-edge technology with deep industry expertise to solve complex challenges and empower clients to thrive in a rapidly changing world. This key role involves coordinating financial reporting, supporting statutory audits, and driving continuous improvements in financial processes and systems. The successful candidate will provide technical guidance and training to the finance team, manage treasury and tax functions, and ensure compliance with financial regulations and standards. Join a forward-thinking organization that invests heavily in technology and embraces innovation to stay ahead in the industry. Youll thrive in a dynamic work environment that encourages continuous learning, career growth, and advancement opportunities. Be part of a diverse and inclusive team where your contributions truly matter and collaboration is highly valued. The company operates with a strong commitment to integrity, accountability, equality, and quality. This is your chance to work on meaningful projects that have a real impact across various industries and communities worldwide. Duties: Oversee accurate monthly financial reporting, including balance sheet and profit & loss analysis, cash flow forecasts, and statutory reports.Coordinate and support internal and external audits, ensuring timely completion and favourable audit outcomes.Manage treasury operations, cash flow, foreign exchange transactions, and master data integrity.Supervise tax functions including return submissions, payments, reconciliations, and compliance with SARS and other regulatory bodies.Lead initiatives to improve financial processes, system automation, and data accuracy.Review and post journal transactions, ensuring all entries are accurate and compliant with IFRS and company standards.Engage with multiple stakeholders to ensure alignment and adherence to financial policies.Monitor accounts receivable and payable, manage vendor and customer due diligence, and maintain accurate ageing reports.Develop and implement asset management policies and procedures.Promote and uphold company values and organizational culture within the Finance Division. Job Experience & Skills Required: Qualifications: Matric (Grade 12)BCom in Accounting, Financial Management, or related field (NQF Level 7 minimum).BCom HonoursCA(SA) or CIMA Advantageous Experience: https://www.executiveplacements.com/Jobs/F/Financial-Senior-Controller-1200312-Job-Search-07-04-2025-04-17-44-AM.asp?sid=gumtree
6mo
Executive Placements
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We are looking for a detail-oriented Credit Controller specializing in billing to join our clients team. Reporting to the Financial Manager, you will be responsible for achieving collection targets, ensuring accuracy of monthly billing, preparing monthly commission reports, and resolving customer queries.managing the credit control and billing functions.The ideal candidate should have 3 - 5 years credit control experience with a 3 year credit management qualification, or equivalent and a strong understanding of accounting principles (debits and credits). Advanced Excel skills and basic proficiency in SAP plus strong reconciliation skills also required.If you have the skills and experience required, we would love to hear from you!Key Performance Areas:1. Monthly Billing - 35%2. Achieve Collections within Debtors Days - 25%3. Sales Commission Reports - 15%4. Maintain Customer Relationships - 15%5. Teamwork - 10%
https://www.jobplacements.com/Jobs/C/Credit-Controller-Billing-1250081-Job-Search-01-11-2026-04-17-23-AM.asp?sid=gumtree
2d
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Company and Job Description: This established and reputable business has built a solid presence in the energy and industrial supply market, servicing high-volume production environments across the country. Known for its resilience and operational excellence, the company is looking for a Finance Manager who is confident, assertive, and capable of running a tough, fast-paced finance environment. The role requires someone who can partner closely with warehouse managers, suppliers, and operational teams while managing the full finance function end-to-end.Key Responsibilities: Oversee the full finance function including GL, reconciliations, reporting, and month-endManage stock, costing, and inventory processes in a high-volume operational environmentPartner with warehouse and production managers to ensure strong financial controlsHandle supplier management, payment cycles, and relationship oversightDrive financial accuracy, process improvements, and operational efficiencyJob Experience and Skills Required:BCom degree with completed articles beneficial3+ years experience in a similar roleExperience within an industrial or production-based environment is essentialStrong exposure to stock, inventory, and operational financeA tough, confident personality with the ability to hold ground in a demanding environment Apply now!
https://www.executiveplacements.com/Jobs/F/Financial-Manager-1249183-Job-Search-01-07-2026-10-13-24-AM.asp?sid=gumtree
1d
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Job Description:Ensure compliance with financial policies, procedures and internal controlsPrepare accurate monthly management and operational financial reportsManage budgeting and forecasting processesOversee cash flow forecasting and working capital managementEnsure adequate store compensation and cost recovery mechanismsManage and develop the finance and operational support teamEnsure adherence to service level agreements (SLAs)Oversee and manage outsourced facilities and service providersAlign financial and operational projects with overall business objectivesSupport stock management, logistics efficiency and risk mitigation initiatives Skills & Experience:Proven experience in a logistics, warehousing or FMCG distribution environmentStrong understanding of product flow, SOPs and operational processesSolid auditing and accounting knowledge Qualification:Finance-related degree orCA(SA) Contact SHAKIRAH LAKAY on
https://www.jobplacements.com/Jobs/F/Finance-Manager-1247607-Job-Search-12-21-2025-16-13-00-PM.asp?sid=gumtree
1d
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