The Sun International brand has a proud legacy in the gaming, hospitality and entertainment sector. Its superior hotels and resorts portfolio makes it a recognized premium brand. The Sun International Group has a diverse portfolio of assets including world class five star hotels, modern and well located casinos, and some of the world’s premier resorts. Our...
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The Accountant will be responsible to process financial accounting entries and review and reconcile transactions for units serviced within the SSC, in line with the policies and procedures of the SSC.
Education
BComm Accounting (essential)
Experience
Minimum 3 years’ experience in financial accounting and reporting
Skills and Knowledge
Analytical skills
Attention to detail
Working with information (agreements, laws, regulations, statistics)
Influencing & Advising skills
Research & development
Reviewing / evaluating information and data
Dealing with customers (including conflict handling skills)
Problem Solving
Clerical Administrative functions
Plan, prioritise, co-ordinate
Decision-making
Emotional resilience
Written and verbal communication skills
Proficiency in MS Office (Advanced Excel)
Accounting principles
Reconciliations
Month-end accounting requirements
Management accounts
Numeracy skills
IFS Financial module an advantage
Process improvement
Tax calculations
VAT calculations and submissions
Preparation of AFS
Key Performance Areas
Approve processing of vouchers completed by the accounts clerks.
Review accruals / provisions at month end to ensure accuracy and completeness,
Process month-end revaluations of foreign currency balances,
Calculate and post required provisions,
Prepare monthly management accounts whereby all allocations are processed and balance sheet items reconciled,
Prepare income and deferred tax calculations for the period,
Prepare VAT returns monthly
Upload financial information into Cognos and clear all validation errors,
Control opening and closing dates of periods according to timetable,
Identify outstanding items on the workflow system and follow up and / or ensure items are cleared by the Accounts clerks.
Prepare annual financial statements and submit to Financial Accountant: Reporting for review.
Ensure strict adherence to all policies and procedures
Meet the Key Performance Indicators (“KPIs”) for this function (eg: clean TBs, management accounts accurate, deadlines met, vouchers posted, queries resolved etc).
Ensure all the necessary accounting transactions have been posted for a period to ensure that the trial balance is complete, accurate and valid for reporting purposes.
Perform reconciliations on balance sheet accounts by the required deadline,
Reconcile payroll postings and ensure accounts are allocated correctly,
Ensure that control account reconciliations are completed and outstanding items are identified and cleared within 30 days
Review departmental allocations and adjust as necessary
Meet the Key Performance Indicators (“KPIs”) for this role (eg: daily reconciliations, no variances outstanding, queries resolved etc).
Keep management updated with regards progress on payments and where necessary escalate unresolved issues
Respond to and resolve queries with internal and external clients
Develop and maintain sound working relationships with relevant departments
Interact with clients and provide professional service standards and solutions
Maintains employee confidence and protects confidential information
Maintains professional and technical knowledge by attending educational workshops; reviewing professional publications; establishing personal networks; participating in professional societies.