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Financial / Operations Manager - Pharmaceutical / Industrial Manufacturing


Minimum requirements for the role: A BComm degree in Accounting or Financial Management or related field is essential for this role.Previous experience having worked within a Financial Manager or Senior Accountant or related role is essential.Previous experience working on SAP is preferred but not essential as long as the person has worked on an ERP system.The successful candidate must be computer literate with strong Excel experience.The successful candidate must be able to manage, guide and lead employees to ensure appropriate processes are being used.The successful candidate must have working knowledge of IFRS.Must be able to deliver financial information to support decision-making.Must be able to manage and develop external relationships with Auditors, Banks, Government Authorities and Advisors.Must have the ability to identify, recommend and implement system and process improvements.Must have strong problem-solving skills and collaborative approach (often involving effective communication across multiple functions) The successful candidate will be responsible for: Providing finance expertise, insight and relevant management information to promote optimal decision-making and performance management.Overseeing all accounting and reporting processes, including Group reporting.Coordinating and driving statutory and tax accounting, filing and reporting. Managing the planning, budgeting and forecast cycle as well as working capital management and optimisation.Overseeing and managing the payroll and HR administration support.Providing leadership to the Finance Team, ensuring meaningful development opportunities are available.Seeking opportunities for process improvement and efficiency, embedding a mindset of continuous improvement in the Organisation.Presenting and providing financial reports to Senior Management making your recommendations.Liaising with Auditors to ensure appropriate monitoring of the Company finances is maintained.Managing and driving the full financial function as well as some of the operations within the Company.Reviewing month end reconciliations, cash books, month end journals, intercompany transactions and VAT and income tax review.Conducting cash flow forecasts including previous month forecast to actual.Preparing year end pack, annual financial statements and quarterly board packs. Salary package, including benefits, is highly negotiable depending on experience gained.
Posted
05/05/2022
Location
Johannesburg, GT, ZA