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  • Posted: Mar 3, 2024
    Deadline: Mar 15, 2024
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  • Never pay for any CBT, test or assessment as part of any recruitment process. When in doubt, contact us

    We love what we do. And are always on the lookout for like-minded people who share our passion for conserving the wilderness. Each job plays a big part in our shared purpose: to increase the world’s wilderness, together. With operations in eight African countries, we offer a wide array of life-changing career opportunities. We are the pioneering col...
    Read more about this company

     

    Financial Controller

    Purpose Statement

    • Manage the Financial & Accounting Function so as to provide relevant, accurate and meaningful financial information on a consistent and timeous basis – both historic and future based.

    Key Accountabilities

    Reconciliation and control of various General Ledger (GL) accounts, as well as the following:

    •  Process journals as and when required
    •  Prior to month-end, review GL accounts and check that all entries posted to the accounts are correct
    •  Reconcile where appropriate to third party statements/information
    •  Prepare schedules for month-end file to be reviewed by the Financial Manager
    •  After month-end close, check that GL schedules agree to the trial balance and amend schedules where necessary.

    Review and control of all bank accounts: ZAR, USD, EUR and GBP

    •  Check cash book items posted from bank statement such as
      • Bank charges
      • Interest
      • Debit orders etc.
    •  Review reconciliations and if required perform reconciliations of bank accounts to bank statements
    •  Investigate and clear reconciling items where appropriate
    •  Prepare schedules for month-end file
    •  Release payments on the banking system in line with Wilderness procedures

    Maintain and develop fixed assets process and review GL accounts

    •  Review and maintain policies for recording and valuing (including scrapping) of fixed assets
    •  Calculate and post monthly depreciation relating to fixed assets
    •  Prepare schedule of deferred tax on fixed assets for month-end file
    •  Review fixed assets registers and reconciliation to GL accounts
    •  Prepare/review schedules for month-end file
    •  Prepare schedule on P&L on sale/scrapping of fixed assets for month end file

    Reconcile, control and submission of VAT, Income Tax and other tax computations and returns

    •  Run monthly VAT reports
    •  Reconcile to control accounts
    •  Clear reconciling items
    •  Check for reasonableness bringing any abnormalities to manager’s attention
    •  Complete VAT returns
    •  Submit payment
    •  Follow up any VAT refunds due
    •  Handle any VAT queries from SARS
    •  Perform income / other tax computations on a monthly basis
    •  Complete income / other tax returns at required intervals during the year
    •  Reconcile the effective tax rate

    Prepare and Set up Templates for Management Accounts

    •  Set up income statements and balance to Tourplan
    •  Set up balance sheets and balance to Tourplan
    •  Set up Foreign Balance sheet and reconcile Foreign Currencies to month end exchange rates and Balance to Reporting Currency Balance Sheets
    •  Pass foreign balance sheet restate entries
    • Reconcile Sales & COS to TFS Reports, Product Analysis and maintenance of GP%
    •  Run the TFS Sales & COS Reports
    •  Reconcile TFS Reports to GL
    •  Accrue for TFS & GL Post Categories
    •  Download Month End Product Analysis in Various Categories
    •  Calculate MTD and YTD GP Percentage
    •  Compare to the Actual GP Percentage
    •  Investigate & Explain Variances

    Monthly Management Accounts Variance Reporting

    •  Run monthly management accounts once all processing is done
    •  Check accounts for accuracy and investigate any discrepancies or anomalies
    •  Review income statement actual CY vs. PY and advise management on reasons for discrepancies
    •  Take corrective action before submitting for review
    •  Submit monthly management accounts to Group Finance in line with Group deadlines and requirements
    •  Complete necessary reports stemming from management account information as needed by Directors / Group Finance

    Audit

    •  Preparation of audit packs
    •  Preparation of complete audit files containing all necessary reconciliations
    •  Handle all aspects of the audit including coordination, query resolution and working with auditors to ensure audit deadlines are met
    •  Preparation of Annual Financial Statements for various companies in terms of International Financial Reporting Standards

    Pre month-end checks

    •  Pull TFS variance report
    •  Inspect Sales, COS and GP% variance
    •  Pull TFS other status report
    •  Resolve variances in conjunction with the Reservations team
    •  Compile VAT check report and investigate and resolve variances with the Reservations Team
    •  Check internal debtors are receipted and VAT treated correctly
    •  Inspect Voucher reports for over / under payments, VAT discrepancies
    •  Inspect Age of vouchers and take corrective action
    •  Inspect and resolve open vouchers that should be closed and closed vouchers that should be open
    •  Ensure sub ledgers are in balance with General ledger
    •  Ensure all clearing accounts are nil
    •  Ensure future accounts are clearing to nil in the latest year
    •  Pull through internal vouchers in terms of the Company policy.

    Month-end Close

    •  Once a month, upon approval from the Financial Manager, hard close the financial system in Tourplan and run the forex calculations

    Distributions to Heads of Departments

    •  Once the results for the month has been reported to Group Finance – prepare and distribute individual department results to the BU Managers
    •  Liaise and resolve any queries that might arise from this process.

    Cash Flow Forecasts & Rolling Forecasts

    •  Be involved and assist with the forecasting process (cash flow forecast and quarterly rolling forecasts)
    •  Liaise with BU Managers to obtain departmental cost forecasts, assess for reasonableness an follow up where necessary
    •  Upload final forecasts into Tagetik
    •  Understand the composition of the forecasts in order to make meaningful comments and conclusion on variances between forecast and actuals.

    Ad hoc assignments/projects

    •  Contribute or implement any ad hoc assignment or project as required by the business from time to time
    •  Perform ad-hoc assignments as directed by the management of the Finance Department.

    Administrative duties

    •  Version control of electronic files, ensuring paper trail is accurate
    •  Adhere to standard processes and procedures.

    Perform any other reasonable duties requested by management

    Knowledge, Skills, and Experience

    REQUIRED MIN.EDUCATION / TRAINING

    •  CA (SA) - newly qualified
    •  Computer Literate with a good working knowledge of MS Excel

    ADDITIONAL EDUCATION/EXPERIENCE:

    •  Working knowledge of Income Tax, VAT and Company law
    •  Knowledge of TourPlan, Great Plains and Tagetik would be beneficial
    •  International company experience or exposure
    •  Exposure to foreign currencies
    •  Sound working knowledge of IFRS

    REQUIRED MINIMUM WORK EXPERIENCE

    •  At least 3 years working experience in articles at an audit firm
    •  Has worked in a supervisory position and can work independently

    PERSONAL ABILITIES

    • Leadership qualities
    • Team player with the ability to interface with a variety of departments and people
    • Organised, methodical, accurate and analytical
    • Deadline and result orientated
    • Excellent communication skills
    • Good time management and the ability to multi-task
    • Hard worker with the ability to deal with change
    • Perform well under pressure
    • Ability to pay attention to detail without losing sight of the big picture
    • Interested in nature & conservation
    • Working Relationships
    • Internal Reservations, RARA, Group Finance and all other departments
    • External Agents, suppliers, banks, external auditors and SARS

    Method of Application

    Interested and qualified? Go to Wilderness on wilderness.simplify.hr to apply

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