AfriSam South Africa Pty Ltd is one of the largest suppliers of construction-related materials, specialising in the production of Cement, Aggregate and Readymix Concrete. Operating in six Southern African countries, the company offers a wide scope of career opportunities and exposure to best practices. At AfriSam South Africa we recognise that talented and enthusiastic people are the basis of our ongoing success.
Management of the department responsible for the detailed General Ledger integrity and daily cash flow requirements and full cashbook function.
Assist in implementing processes aimed at managing costs.
Manage the integrity of the general ledger and reporting requirements.
Oversee the processing of payments and administration thereof.
Submission of Statutory Returns.
Management of FOREX reserves and booking process.
Management of the Treasury Function
Management of the Company’s daily cash flow position.
Relevant three year qualification, e.g. B.Com (Accounting) or equivalent
Three years commercial experience plus proven record of managing a team.
Knowledge of FICA requirements
Sound practical knowledge of SAP (FI and BW)
Knowledge of tax as well as exchange control legislations.
Good understanding of Money Market information and principles
Advert Code: AFR1741512
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