Vacancy.

Management Accountant

iLEAD et al is looking for a recently qualified management accountant with articles who can effectively assist with our company’s financial responsibilities. This is a hands-on role requiring a deep understanding of operational finance. 

 

We are seeking an individual with excellent analysis skills who will be accountable for various financial activities, including budgeting, forecasting, strategic planning, management reporting, tax, and financial analysis. The ideal candidate should be adept at spotting trends in financial data and proficient in analysing results, as well as overseeing general ledger processing and bank payments.

DUTIES INCLUDE:

  • Daily reporting.
  • Analysing targets.
  • Meeting with department heads.
  • Managing and coordinating monthly reporting, budgeting, and forecast processes.
  • Providing back-office services such as accounts payable, collection and payroll.
  • Monitoring cash flow.
  • Liaising with accountant teams.
 

RESPONSIBILITIES INCLUDE:

  • Assist in managing financial accounting, monitoring, and reporting systems.
  • Ensure correct revenue recognition in terms of company and accounting standards.
  • Perform monthly reconciliation of assigned balance sheet accounts.
  • Review and effectively manage all receivables.
  • Effectively manage and control payables to minimise company risk.
  • Produce accurate financial reports to specific deadlines.
  • Review financial results and trends and provide and interpret financial information, including the analysis of records from present and past operations, trends and costs, estimated and realised revenues, administrative commitments, and obligations incurred.
  • Provide financial and statistical data to internal and external stakeholders to assist with decision-making.
  • Provide insights on the financial health of the organisation.
  • Ensure the business meets all its statutory and compliance obligations, including statutory accounting and tax issues.
  • Strong tax understanding and assistance with company tax returns.
  • Assist with the calculation and completion of company taxation, including VAT and PAYE.
  • Assist with the completion of annual financial statements in accordance with IFRS for SMEs.
  • Participate in the monthly forecast and annual budgeting process and manage budgets.
  • Monitor and interpret cash flows and predict future trends.
  • Ensure effective maintenance and support of assigned key internal controls.
  • Participate in special projects when required.
  • Participate in strategic and long-term business plans.
  • Arrange new sources of finance for a company’s debt facilities.

Qualifications and Experience Required:

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  • CGMA/CIMA preferable.
  • An in-depth understanding of tax and intercompany tax.
  • Strong leadership and communication skills.
  • Self-starter.
  • Problem-solver.
  • Good team-player.

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