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Results for cashing in "cashing" in Jobs in Gauteng in Gauteng
1
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Key ResponsibilitiesInventory, master data and BOM management within an ERP environmentStandard costing, stock control, stock takes, and inventory analysisCapex budgeting, investment cases, and post-implementation reviewsCustomer and product profitability analysisCash flow forecasting and cash management reportingMonthly operational, inventory, balance sheet and capex reportingSustainability and compliance-related reporting supportMinimum RequirementsB Com in Accounting, Finance, or related field (an Hons is highly advantageous)Strong operational finance experience in manufacturing / FMCG / productionProven exposure to inventory management and costingERP system experience (Sage or similar)Strong Excel skills and analytical abilityIdeal CandidateDetail-oriented and commercially mindedComfortable partnering with operations and production teamsWell-organised and deadline-driven
https://www.executiveplacements.com/Jobs/S/Senior-Operations-Accountant-1258341-Job-Search-02-23-2026-00-00-00-AM.asp?sid=gumtree
9d
Executive Placements
1
IZI South Africa, a leading South African cash management and secure logistics company providing services like cash-in-transit (CIT), cash supply, processing, and ATM management, is seeking a detail-oriented and experienced Reconciliation and Compliance Manager to join our team our Head Office - Centurion.The successful candidate will be responsible overseeing and managing the implementation, adherence, and monitoring of all Reconciliation and Operational Cash Controls (ROCC) and compliance activities, with a specific focus on cash processing, reconciliation, and risk mitigation within all Cash Management Centres nationally. The Key Responsibilities will Include:Be the custodian of ROCC Cash Solutions SADevelop expertise in each business units cash reconciliation risks, systems and procedures.Participate in and manage the development of country improvement plans as required. These plans will be geared towards ensuring that the businesses standard internal controls and best practices are applied consistently and are effective in reducing cash reconciliation risks to acceptable levels. In particular ensuring the business units implement recommended actions arising from businesses Cash Reconciliation Audit Report findings and that required controls are embedded in operating proceduresReview all branch procedures to ensure adherence to ROCC (independent review of all processes and procedures)Coordinate and oversee the Control Self Assessments to be completed by all branches 2x annually. Visits a sample size of branches to conduct the CSA with collaboration of regional teams.Update the Master Action Plan monthlyRespond immediately to any ROCC deviations within the country and take the necessary actions to ensure risk is mitigated Manage that weekly cash counts were conducted, receive feedback, analyse results and escalate deviations, issues and potential losses to the applicable management teams (Country & Region)Review all cash differences conduct discrepancy trending to identify patterns and report / escalate accordinglyReceive feedback from branches wrt any backlogs and report timeously to the applicable management teams (Country & Region)Continuously monitor key cash controls to identify risks and support performance challenges at an early stage.Conduct regular risk assessments focusing on the analysis, identification, description, and estimation of cash processing risks affecting the business.Continuously monitor key cash controls to identify risks a
https://www.jobplacements.com/Jobs/R/Reconciliation-and-Compliance-Manager-1267450-Job-Search-3-2-2026-8-39-21-AM.asp?sid=gumtree
2d
Job Placements
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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
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Key Performance Area:Cash Handling• Ensure that all cash (including floats, and petty cash) allocated to you balance (No shorts and overs)• Ensure goods are correctly identified and captured on the Point of Sale Terminal.• Capture the correct payment type received from Customers on the Point of Sale Terminal• Ensure you have sufficient change at all times• Ensure Pick-ups are done accurately and within the set parameters• Ensure Cash-ups are done accurately at the end of your shift• Ensure all your daily takings have been dropped into the Drop Safe / vault• Ensure that all transactions relating to other stores money, deliveries, and quotes are processed correctly. EMAIL CV TO; ward@nishangroup.co.za
8d
Johannesburg CBD1
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Minimum RequirementsDiploma in Finance, Accounting or related qualification3 years experience in a financial and/or accounting roleStrong working knowledge of accounting principlesExperience with financial systems (SAP and Cistech advantageous)Advanced Microsoft Excel skillsStrong reconciliation experience (daily and month-end)Knowledge of relevant financial legislation and compliance requirementsExcellent attention to detail (critical requirement)Strong numerical and analytical skillsAbility to work independently and within a teamProfessional communication skillsHigh level of integrity and trustworthinessStrong time management and organisational skills Key Responsibilities Cash-Ups & Daily Financial ControlPerform daily cash-ups and finalise cash-ups on Cistech.Update financial reports daily.Perform reconciliations and submit to management.Provide accurate daily financial figures to management. ReconciliationsReconcile various general ledger accounts daily.Analyse and resolve variances timeously.Perform daily reconciliations of accounts (including 161010 and 650080). Debtors ManagementMonitor and review age analysis daily.Allocate payments accurately.Follow up on outstanding accounts.Send statements and handle account queries.Perform month-end debtor statement processing and filing. Creditors ManagementManage cash and EFT creditors.Sort and process PO invoices daily for payment.Perform daily monitoring of creditor accounts.Conduct month-end reconciliations and ensure accurate payments.Handle supplier queries effectively. Petty Cash & Bank ControlManage petty cash and conduct regular cash-ups.Process change top-ups where required.Perform spot checks on bank boxes. Month-End ProceduresEnsure cashbooks are fully processed and up to date.Complete creditors reconciliations and resolve queries.Print and file cash-up reports, petty cash records and daily sales reports.Prepare Excel reconciliations for audit files (161000, 161015, 161019, 650080).Compile and submit audit documentation as required.Ensure all financial documentation is properly filed. Financial Administration & ComplianceAdminister Debtors and Creditors account application processes.Ensure all credit applications are properly filed, scanned and uploaded onto SAP.
https://www.executiveplacements.com/Jobs/F/Financial-Controller-709896-Job-Search-02-27-2026-00-00-00-AM.asp?sid=gumtree
5d
Executive Placements
1
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We have an exciting opportunity available for an experienced Cash Supervisor to join a corporate finance team at Head Office in Johannesburg, responsible for managing cash, banking, reconciliations, and safeguarding financial processes.Duties & Responsibilities:Manage daily cash processing, banking transactions, and reconciliations.Implement and oversee cash and bank account management functions.Record, reconcile, and monitor cash transactions, General Ledger, and financial data sets.Process payments and receipts accurately and timeously.Maintain cash flow reporting and support cash flow management activities.Conduct cash investigations and resolve discrepancies efficiently.Manage month-end closure activities within the area of responsibility.Ensure compliance with financial controls, legislation, and internal cash procedures.Safeguard cash handling processes and manage the cash division within Finance.Provide leadership, guidance, and support to the cash processing team.Assist other finance divisions when required.Requirements:BCom degree or equivalent NQF Level 7 qualification in Commerce or Finance.3–5 years’ experience in a similar role, preferably in a mixed retail/wholesale environment.Motor industry experience (advantageous).Syspro experience (advantageous).Advanced knowledge of cash, bank, treasury, and financial control principles.Strong understanding of SA tax legislation, FICA, POPI, and related frameworks.Solid experience with creditors, debtors, GL reconciliations, and forex cash operations.Advanced data reconciliation, analytical, and problem-solving skills.Strong communication, leadership, and relationship-building abilities.Advanced Excel, IT, and financial systems competence.Ability to work under pressure, meet deadlines, and manage financial cycles.Matric (Grade 12) or equivalent qualification.Valid driver’s licence.Clear criminal record.Send your CV to:
https://www.jobplacements.com/Jobs/C/Cash-Supervisor-1264165-Job-Search-02-19-2026-09-00-16-AM.asp?sid=gumtree
13d
Job Placements
1
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Accounts ReceivableGenerate customer invoicing credit notes and billing as well as queriesDistribution of Debtor StatementsCollection of outstanding debtReconciliation of debtor accountsHandover of bad debtFilingAccounts PayableCapture Creditor transactions and Reconcile Creditors statements.Allocate Payments to creditors, allocate and obtain authorisation for the capturing of credit notesResolve queries relating to variancesReconcile invoices to supplier statementPrepare payment advice for approvalFilingCash book & Petty cashReconciliation of receipts and cash booksMonthly bank reconciliationsManagement of petty cash and reconciliationVATVAT calculations and submission to SARS via e-filingFilingHR FunctionsQualificationsMatric + relevant tertiary qualification15 + years bookkeeping / accounting experienceMS Office and strong in ExcelAcumatia is essentialIf you have not heard from us within 2 weeks, we regret that you have been unsuccessful.
https://www.executiveplacements.com/Jobs/A/Accountant-1266096-Job-Search-02-25-2026-09-00-15-AM.asp?sid=gumtree
7d
Executive Placements
1
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Our client is a major automotive giant based in Johannesburg East, operating across international markets with complex funding structures and multi-currency cash flows. As Treasury Analyst, youll support the Treasurer and Treasury Manager with local and international funding, cash management and strategic treasury projects. Youll sit right at the heart of liquidity management. If youre ready to shift gears from general finance into specialised treasury exposure, this is your accelerator. Key Responsibilities:Assist with local and international funding requests, loan rollovers, and utilisationsUpdate and maintain international interest rate schedules and distribute reportsSupport daily and monthly cash flow forecasting (local and international)Load payments on international banking platforms and follow through on settlementsAssist with Treasury Management System updates and interest calculationsSupport SA and international divisions with daily cash management processesPrepare and distribute ALCO packs and treasury meeting schedulesMaintain bank account registers, guarantee registers, signatory updates and KYC documentationCollate FX schedules and distribute monthly bank fee analysisLiaise with auditors and manage treasury-related documentation.Support the Treasurer and Treasury Manager with ad-hoc projects and system improvementsJob Experience and Skills Required:Newly Qualified CA(SA)Minimum 2 years treasury experience essentialStrong understanding of bank administrative processesKnowledge of receivables, payables and cash management processesExcellent analytical, reconciliation, and problem-solving skillsStrong MS Excel capabilityDetail-driven with the ability to operate in a high-pressure, fast-paced environmentIf youre ready to move from reporting the numbers to managing the money behind them, its time to step into treasury and accelerate your career!
https://www.executiveplacements.com/Jobs/T/Treasury-Analyst-1267123-Job-Search-03-01-2026-16-15-06-PM.asp?sid=gumtree
3d
Executive Placements
1
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Requirements:MatricOwn transportResponsibilities:Manage the full debtors function, maintaining accurate and up-to-date customer accounts.Capture, allocate, and reconcile invoices, credit notes, and receipts.Perform daily cash allocations and maintain debtor ledgers.Prepare and distribute monthly customer statements.Monitor overdue accounts and follow up to reduce debtor days and improve cash flow.Investigate and resolve customer queries, disputes, and account discrepancies.
https://www.jobplacements.com/Jobs/D/Debtors-Clerk-1266957-Job-Search-02-27-2026-10-25-45-AM.asp?sid=gumtree
5d
Job Placements
1
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Job & Company DescriptionsA global leader in industrial engineering and innovation is seeking a skilled Finance Specialist to join its dynamic team in Boksburg. This role plays a critical part in ensuring financial compliance, tax accuracy, treasury management, and high-quality reporting across the division. The successful candidate will coordinate statutory audits, drive automation and system improvements, and provide financial guidance to support strategic decision-making.With a strong commitment to innovation, integrity, and operational excellence, this organisation offers the opportunity to work in a performance-driven environment that values continuous improvement and professional growth. Key Responsibilities and Duties:Tax Compliance and Reporting. Manage all tax functions including preparation, submission, and payment of VAT, corporate tax, and other returns. Ensure full compliance with SARS regulations and maintain accurate reconciliations and schedules.Financial Reporting and Analysis, preparation and review of monthly and annual financial reports, including balance sheet, profit & loss, and cash flow forecasts. Ensure accuracy, completeness, and compliance with IFRS and internal standards.Treasury and Cash Flow Management. Oversee daily, weekly, and monthly cash flow planning. Manage local and foreign bank accounts, approve payments, and handle forex transactions and FEC contracts to minimise risk and optimise funding.Audit Support and Statutory Compliance. Coordinate interim and year-end audits, compile supporting documentation, and address audit queries. Ensure adherence to statutory and group reporting standards, maintaining favourable audit outcomes.System and Process Improvement. Lead the implementation and optimisation of financial systems, including automation of processes like payments. Support data integrity in master data management and identify areas for continuous improvement.Qualifications & skills:Bachelors Degree in Accounting, Financial Management, or a related field (NQF Level 7)No criminal record and fit for duty 5+ years of experience in: Accounting (operational level) and tax management and complianceTreasury and cash flow management. Forex experience beneficial.3+ years of experience in: Financial analysisApply now!
https://www.executiveplacements.com/Jobs/S/Senior-Financial-Controller-1199726-Job-Search-07-02-2025-10-14-18-AM.asp?sid=gumtree
8mo
Executive Placements
1
The Senior Financial Manager is responsible for:Financial reporting: ensuring the delivery of valid, accurate and complete financial accounting recordsFinancial 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 regulations.The role reports to the CFO and is based in Midrand.
https://www.executiveplacements.com/Jobs/S/Senior-Financial-Manager-Manufacturing-1266475-Job-Search-2-26-2026-8-12-59-AM.asp?sid=gumtree
6d
Executive Placements
1
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Job PurposeThe Financial Accountant will manage the full accounting function, ensuring accurate financial reporting, compliance with statutory requirements, and the integrity of financial data. The role supports strategic decision-making through financial analysis, robust controls, and timely management accounts.Key ResponsibilitiesFinancial Reporting & General LedgerPrepare and present monthly management accounts, including income statements, balance sheets, and cash flow statements.Maintain the general ledger and ensure accurate processing of all financial transactions.Monitor financial performance and analyse variances and trends.Accounts Receivable & Cash ManagementManage accounts receivable, including invoicing, statements, and overdue account follow-ups.Perform monthly bank and cash reconciliations.PayrollProcess and manage monthly payroll.Ensure payroll accuracy and compliance with statutory requirements.Reconciliations & ControlsPrepare and review bank, supplier, and intercompany account reconciliations.Maintain strong internal controls to safeguard company assets.Tax & Statutory ComplianceEnsure compliance with all relevant tax regulations and statutory submissions.Liaise with authorities as required.https://www.executiveplacements.com/Jobs/F/Financial-Accountant-1264905-Job-Search-02-23-2026-03-00-16-AM.asp?sid=gumtree
9d
Executive Placements
1
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About the Role:A leading player in the property and real estate development space is looking for a Financial Controller to bring order, insight, and a touch of magic to their multi-entity finance world. This is not a back-office box-ticking job this is where financial leadership and strategic thinking meet spreadsheets and real-world results.Youll report to the Group Financial Manager and take full ownership of financial control and compliance across the group. If youre looking for a role where your decisions actually shape the business this is it.What Youll Be Doing:Running the full financial function across a group of companiesKeeping everything above board from compliance to external auditsManaging reconciliations like a pro: bank, debtors, creditors, intercompany, you name itImplementing and enforcing finance policies and best practicesPreparing annual financial statements that actually make senseDelivering insightful monthly management reports to the team and boardSupporting annual budgeting and long-term financial planningProducing detailed, forward-looking cash flow forecastsReviewing actuals vs budgets and helping steer the ship when neededAssisting with tax calculations (yes, even the provisional stuff)Being the finance go-to when just one more thing pops up (because it always does)What Youll Need to Succeed:CA(SA) accreditation is essentialNewly Qualified CA(SA) or 1 years post article experience.Strong leadership skills and a hands-on approachExperience with multi-entity reporting (bonus if in real estate or property)Deep knowledge of IFRS, tax regs, and South African financial complianceSound like your kind of challenge?
https://www.executiveplacements.com/Jobs/F/Financial-Controller-CASA-1198507-Job-Search-06-27-2025-10-14-24-AM.asp?sid=gumtree
8mo
Executive Placements
1
Clinical Case AssistantProvide intraoperative clinical support within Neurology and Urology departments in Johannesburg and surrounding areas.Johannesburg | R12,000 starting (R14,000 post-probation) + cell phone reimbursement + fuel cardAbout Our ClientThe company is a healthcare solutions company specialising in advanced medical products and clinical support services. They have a presence in the surgical field and focus on clinical assistance and product support. The organisation supports growth for professionals developing within the healthcare sector.The Role: Clinical Case AssistantThis role focuses on providing intraoperative clinical support within the Neurology and Urology departments in Johannesburg and surrounding areas. The Clinical Case Assistant exists to assist with product coverage during surgeries and ensure seamless clinical support while working closely with a senior representative. The main focus areas include supporting surgeons and hospital teams through flexibility and frequent travel.Key ResponsibilitiesAssist with intraoperative product coverage during Neurology and Urology cases.Provide clinical support and technical guidance on product usage.Collaborate with the senior representative to manage case schedules and coverage.Travel frequently within Johannesburg and surrounding areas for case support.Maintain accurate records and reports on case activities.Ensure products are prepared and available for scheduled procedures.Build and maintain professional relationships with hospital staff and surgeons.About YouOwn reliable car and valid drivers license.Strong interest in the healthcare or medical field, ideally with clinical exposure.Excellent communication and interpersonal skills.Flexible and adaptable with the ability to work late nights and travel frequently.Responsible, reliable, and committed to delivering professional clinical support.Willingness to learn and grow within the healthcare solutions sector.
https://www.jobplacements.com/Jobs/C/Clinical-Case-Assistant-Johannesburg-1265186-Job-Search-2-23-2026-10-26-39-AM.asp?sid=gumtree
9d
Job Placements
1
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Duties and Responsibilities:Management of the Accounting DepartmentControlling creditors, cashbooks and petty cashDebtors & Creditors reconciliationsCompiling of annual budgets & cash flow forecastsChecking and signing off general ledger control account reconciliationsVAT returns, EMP returns, handling all SARS related matters, journal entries, analysis, calculation and reconciliationManaging fixed assets and capital expenditurePrepare and maintain fixed asset registerUpkeep of trial balanceNegotiating with relevant creditors regarding paymentPrepare and maintain finance lease scheduleUndertake & manage stock control/countCompiling financial year-end schedules for audit Requirements:B. Com or equivalent tertiary accounting qualification with completed articlesAccounting software (Pastel) experience5+ years experience as financial manager // senior accountant
https://www.executiveplacements.com/Jobs/F/Financial-Manager-1197791-Job-Search-06-26-2025-04-06-23-AM.asp?sid=gumtree
8mo
Executive Placements
1
Main accountabilities include:? Reconciliation of allocated Balance Sheet accounts (Assets, Debtors and Revenue).? Maintain fixed asset register.? Ensuring assets are captured timeously and accurately.? Assist with completion of CIPs for CAPEX.? Calculate provision for Bad Debt.? Responsible for all AMI Intercompany accounts and confirmations.? Set objectives for the accounts receivable team that align with the accounting departments goals? Negotiate with clients in non-payment cases.? Prepare monthly, quarterly, annual and ad-hoc forecasting reports on request.? Ensure all Revenue (Invoices) is transferred accurately & completely into Pastel from the relevant ERP system.? Support Accounts Receivable Clerks on a daily basis and train new team members.? Ensure all team members follow the correct accounting principles.? Stay updated on industry and legislative changes.? Provide accurate reports and analysis on financial data and metrics such as cash forecasting, sales statistic information, and monthly net sales reports.? Collect all revenue due to the company by tracking and following up on outstanding payments.? Identify and mitigate risk by conducting credit checks on new and prospective clients.? Ensures clients pay on time and collect past-due date payments by implementing the accounts receivable policy.? Help the Finance team understand what to expect regarding cash inflows from clients by creating monthly payment collection feedback reports.? Monitor cash inflows by tracking invoices, deposits, and any payment collection correspondence.? Keep customers up to date on their accounts by sending them statements and reminders to pay.? Provide accounts receivable reports to the relevant departments by compiling accounts receivable activities, including ageing reports, cash forecasts, and collections analysis.? Maintenance of 90+ day ageing, for debtors, below 5% of total.? Provide sales reports (Weekly & monthly Flash and month end Revenue reconciliations).? Reconcile allocated Bank accounts by Reporting deadline (inward Bank account payments).? Assist in local and group audits.
https://www.jobplacements.com/Jobs/A/Accounts-Receiveable-Controller-Kempton-Park-1202647-Job-Search-7-13-2025-12-02-25-PM.asp?sid=gumtree
8mo
Job Placements
1
Minimum requirements for the role:The successful candidate must be a Chartered Accountant or similar.Previous experience having worked in a senior financial management role is essential. Previous experience having worked in a financial director role is preferred.Previous experience operating at an Exco level is preferred.Previous operational senior financial management experience having worked within the agricultural or manufacturing or distribution or related industries is preferred.Must have a solid understanding of IFRs reporting.Must have a hands-on approach to the role and the business.Previous exposure to risk management experience is essential.Must be able to handle pressure, take ownership and accountability and drive good commercial outcomes with the managing executive team.Must have a good business acumen and a general knowledge of business operations outside of the finance sphere.The successful candidate will be responsible for:Managing and overseeing all financial, it and hr aspects of the business as well as assisting the CEO in terms of the operations of the company.Assisting the md in developing strategic financial and operational direction with key milestones and targets for the company.Providing accurate financial reports and interpreting financial informationMonitoring and interpreting cash flows and predicting future trends.Developing financial management controls to minimise financial risks.Managing budgets, forecasts and net working capital projects.Liaising with external auditors and internal auditors.Measuring and achieving the prescribed EBITDA.Interpreting the companys financial results to management and recommend improvements.Reviewing company bottlenecks and recommend changes to improve the overall level of company throughput.Managing cash flow and forecasting including measuring the budgeted cash flow vs actual cash flow and ensuring excess cash is managed accordingly.Manage and drive all financial reporting.Assisting in the sales annual budgets and compiling of the annual reports.Salary package, including benefits, is highly negotiable depending on experience gained.
https://www.executiveplacements.com/Jobs/F/FinancialOperations-Director-Exco-Agricultural-1203669-Job-Search-07-16-2025-04-35-16-AM.asp?sid=gumtree
8mo
Executive Placements
1
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Our client operates at scale, with complex, multi-entity operations and strong international reporting requirements. This a role will serve as the key link between the terminal, international logistics operations and the head office. The position requires close collaboration with ground operations, procurement and finance teams across multiple entities.Key Responsibilities:Process and reconcile creditors (local & foreign)Manage billing and invoicingOversee debtors and cash collections in line with credit termsPerform bank reconciliations and transaction postingMaintain general ledger postings, accruals, prepayments and provisionsDrive the month-end closePrepare balance sheet reconciliationsCompile monthly reporting packs and commentary for Group submissionMonitor spend vs budget and highlight risks and savings opportunitiesPartner with operations and procurement on cost-saving initiatives. Support procurement projects, vendor reviews and compliance checksMonitor supplier performance, pricing and cost trendsAct as the finance point-of-contact for ground operations teamsProvide financial insights for operational decision-makingSupport operational audits, compliance reviews and documentationAssist with business cases, CAPEX and special projectsSupport system implementations and process improvementsJob Experience and Skills Required:BCom in Accounting or FinanceCompleted SAICA or SAIPA articles3 to 5 years post-articles experience in an operational finance or accounting roleExperience in multinational environmentsExperience in travel & tourism, hospitality or shipping advantageousStrong exposure to creditors, de
https://www.jobplacements.com/Jobs/A/Accountant-1267121-Job-Search-03-01-2026-10-14-51-AM.asp?sid=gumtree
3d
Job Placements
1
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A fast-growing, global engineering company is seeking a Financial Accountant to join its high-performing finance team. This is an exciting opportunity for a detail-oriented finance professional to play a key role in supporting a complex, high-volume finance function. Duties:Oversee accounts payable and bank processes, including foreign payments and reconciliationsPrepare cash flow forecasts, manage petty cash, and handle inter-company allocationsMaintain fixed assets, CAPEX budget, and general ledger, ensuring accurate month-end reportingEnsure statutory compliance (VAT & PAYE) and coordinate audits with external auditorsSupport management with ad hoc financial analysis, inventory costing, and other accounting tasks Education and Experience:BCom in Accounting47 years experience in a Financial Accountant or similar roleExperience within a multinational environment is required
https://www.executiveplacements.com/Jobs/F/Financial-Accountant-1263832-Job-Search-02-18-2026-00-00-00-AM.asp?sid=gumtree
7d
Executive Placements
1
Additional InformationRetail environment (Automotive / Car Parts)Must be able to work Monday to SaturdayMust have Clear ITC records (No Debt review, Defaults or Judgements)Must have Clear Criminal Record MINIMUM REUIREMENTS Qualifications:MatricRelevant qualifications in Administration, Finance, Supply Chain, Stock Control, or Retail Management will be advantageous Experience:Proven experience in senior administration, parts administration, or stock controlStrong administrative, organisational, and time-management skillsExcellent verbal and written communication skillsSolid experience with cash handling, daily cash-ups, and reconciliationsWorking knowledge of debtors, creditors, invoicing, and financial controlsExperience with stock ordering, inventory management, and supplier coordinationAbility to work under pressure in a high-volume retail environmentTrustworthy, reliable, and able to work independentlyPrevious experience in the automotive or car parts industry will be a strong advantage  KEY RESPONSIBILITIES: Senior Administration & Financial ControlTake ownership of all administrative functions within the Parts ShopManage daily cash-ups, banking preparation, and variance investigationsCapture and reconcile invoices, GRNs, payments, and supplier documentationManage debtors and creditors processes and assist with supplier paymentsMaintain accurate filing systems, records, and compliance documentationSupport month-end processes, reporting, and audits Stock Control, Ordering & Supply ChainManage end-to-end stock ordering for the Parts Shop to maintain optimal stock levelsLiaise with suppliers regarding pricing, availability, lead times, and delivery schedulesTrack and follow up on orders from placement to receiptEnsure accurate receiving, capturing, and reconciliation of all stockConduct regular stock counts and investigate discrepanciesImplement controls to minimise stock losses, shortages, and overstockingSupport demand planning and stock forecasting in line with sales trends Store Operations & SupportAct as the primary administrative and stock control support to store managementSupport sales staff with parts administration, queries, and documentationEnsure
https://www.jobplacements.com/Jobs/A/Administration-Clerk-Parts-Shop-Administrator-1257001-Job-Search-03-02-2026-00-00-00-AM.asp?sid=gumtree
2d
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