Financial Accountant CA (SA)

Fourier Recruitment

السعودية نُشرت منذ 4 ساعات 1 مشاهدة
تقنية المعلومات

الوصف الوظيفي

Introduction

Financial Accountant CA (SA)

Industry: Animal Feed Additives / Biosecurity / Cleaning & Hygiene

My Client is a dynamic, growth-focused organisation operating in the fast-evolving feed additives industry. They manufacture bio-conditioning ingredients and biosecurity & hygiene products. They also partners with global nutritional feed additive manufacturers to deliver innovative, high-quality nutritional feed additive solutions. With a strong technical foundation and customer-centric approach, we aim to set the benchmark for value, service, and reliability.

Industry experience preferred:
• Manufacturing
• FMCG
• Automotive
• Engineering / Industrial Production
• Food Processing
• Pharmaceutical Manufacturing

Description

We are seeking qualified Financial Accountant CA (SA) to manage financial reporting, ensure compliance with accounting standards, and support the organization’s financial operations. The Financial Accountant is responsible for maintaining the integrity of the company’s financial records, ensuring compliance with accounting standards, regulatory requirements and supporting effective financial decision-making. The role encompasses general ledger management, accounts payable and receivable, fixed assets, payroll support, reconciliations, period-end closing, internal controls and financial reporting. The Financial Accountant supervises the finance team. This position requires a detail-oriented professional who can work independently, manage multiple priorities, and contribute to the overall financial health of the organization.

Key Responsibilities:

This is a hands-on role suited to a technically strong and operationally capable finance professional who can manage day-to-day financial activities while contributing to long-term organisational goals. Practical experience relating to the below is required:

Financial Accounting & Reporting - Manage full accounting function including:
• Accounts payable, Accounts receivable and Cashbook reconciliations.
• General ledger (Account and cost centre allocations)
• Fixed assets register
• Stock management
• Prepare and post journal entries.
• Reconcile general ledger accounts and investigate variances.
• Support month-end close processes.
• Prepare monthly management accounts and financial reports
• Prepare annual financial statements in accordance with applicable standards.
• Oversee and process inter company transactions and reconciliations.

Taxation & Statutory Compliance - Prepare and submit:
• VAT returns / PAYE / Provisional Tax
• Income Tax / CIPC filings
• Ensure compliance with financial regulations and tax legislation.
• Liaise with tax authorities and external advisors when required.

Treasury & Cash Flow Management
• Manage company cash flow.
• Oversee cash management, investments, and financing arrangements.
• Process foreign exchange transactions and payments.
• Administer letters of credit in line with regulatory requirements.
• Review supplier reconciliations and authorize payments on various banking platforms.
• Lead weekly debtor review meetings to track outstanding accounts, address delays, and drive timely customer payments.

Internal Controls & Risk Management
• Implement and maintain strong internal controls.
• Safeguard company assets.
• Identify and mitigate financial risks and fraud exposure.
• Maintain accurate financial filing and record-keeping systems.
• Ensure adherence to company financial policies and procedures.
• Identify opportunities to improve financial efficiency and controls.

Payroll & Audit
• Administer and process payroll, and assist employees with any payroll related queries
• Collaborate with internal and external auditors and provide audit documentation and explanations.
• Support year-end audit processes.
• Manage and compile all data and documentation for BEE audits adhering to compliance requirements

Stock Control
• Lead and monitor stock cycle count processes, analyse discrepancies, and implement corrective actions to maintain accurate inventory records.

Budgeting & Forecasting
• Assist in preparation of annual budgets.
• Support financial forecasting processes.
• Provide financial insights to senior management.

H. Leadership & Team Management
• Manage, mentor, and develop finance team members.
• Oversee recruitment, onboarding, and training of finance staff.
• Foster a culture of accountability and continuous improvement.

Cross-Functional Collaboration
• Work closely with other departments (Sales, Production, Logistics, Procurement) to support business objectives.
• Provide financial analysis to support operational decision-making.

Profile

Qualifications and Key Attributes
• BSc Degree Accounting Science / BCom Degree Accounting Science
• Qualified CA(SA)
• Completed Articles (SAICA)
• Minimum 3 years’ experience as a Financial Accountant post Articles
• Advanced proficiency in MS Office Suite, particularly Excel (Pivots, VLOOKUP etc.)
• Experience with accounting software and ERP systems (Sage preferred)
• Excellent attention to detail and accuracy with a proactive approach to tasks
• Strong interpersonal, administrative, and communication skills
• Maintains strict confidentiality of financial information and demonstrates strong ethical standards
• Excellent time management and ability to work independently and in a team
• Hardworking, committed and dedicated
• Experience with IFRS and IFRS for SMEs is advantageous

We offer

Medical Aid / Pension Fund
معلومات الوظيفة

نوع الدوام: دوام كامل
تاريخ النشر: الجمعة, 13 مارس 2026
شارك الوظيفة