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  • Posted: Feb 18, 2020
    Deadline: Not specified
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    Gast, founded in 1961 had its roots in the chemical industry. This included specialist chemicals for the cosmetic and industrial markets including coatings and waterproofing compounds. The Gast family, originally of Prussian descent began spreading their wings shortly before the Second World War afar a field as the USA and Africa.


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    Finance Manager

    Must be immediately available.

    An energetic, vibrant and motivated individual who will be responsible for the financial health of the company including overseeing all Financial Departments from Treasury to Debtors & Creditors. Creating financial reports and developing strategies based on financial research. Providing in-depth analysis to Senior Executives.

    Financial Manager Requirements:

    • Qualified Accountant (B.Comm degree) Signed off SAICA Articles (Non-negotiable)
    • Registered Chartered Accountant will be an advantage.
    • 2 years’ Financial Experience in the Construction Industry (Non-negotiable)
    • Vast experience with multiple accounts software systems i.e. Xero, Pastel QuickBooks, SAP.
    • Xero accounting software experience will be a significant advantage.
    • Monitor the day-to-day financial operations within the company, such as Debtors, Creditors, Payroll and so forth.
    • Computer literate; fully conversant with the current uses of information technology in the workplace and uses IT as a management tool.
    • Skilled & experienced in tax preparation, auditing, banking, investments, and other financial needs as necessary.
    • Financial Performance tracking with deep analytical experience.
    • Seek out methods for minimizing financial risk to the company.
    • Research and analyse financial reports and market trends.
    • Provide insightful information and expectations to Senior Executives to aid in long-term and short-term decision making.
    • Review financial data and prepare monthly and annual reports.
    • Stay up to date with technological advances and accounting software to be used for financial purposes.
    • Understand and adhere to financial regulations and legislation.
    • Excellent communication skills, both verbal and written
    • Ability to work at both a detailed and strategic level – e.g. making payments and producing annual financial delivery plans etc.
    • Ensure compliance with all statutory requirements relating to financial control, financial management and accounting.
    • Maintain current standing with all mandated local tax and benefits registrations and requirements, including submissions of payments and reports.
    • Ensure compliance with all statutory requirements relating to financial control, financial management and accounting.
    • Ensure appropriate external audit arrangements are in place and manage the audit process.
    • Ensure that all balance sheet reconciliations are produced on an accurate and timely basis to include bank reconciliations, debtors, creditors and inter-company account.
    • Must reside within Pretoria area and willing to travel to Pretoria East.
    • Salary expectations: R40 000 Neg.

    Method of Application

    Interested and qualified? Go to GAST GROUP on www.linkedin.com to apply

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